HoldingsChannel.com
Kopp Investment Advisors LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
NeoGenomics Inc. 207,781 -119,657 $3,973
     NEO207,781-119,657$3,973
Insulet Corp. 23,934 -8,695 $3,947
     PODD23,934-8,695$3,947
Twilio Inc. Class A 34,263 -14,781 $3,768
     TWLO34,263-14,781$3,768
Cypress Semiconductor Corp. 159,460 -89,034 $3,722
     CY159,460-89,034$3,722
Vericel Corp. 198,445 -118,634 $3,004
     VCEL198,445-118,634$3,004
Horizon Therapeutics Pub Ltd. 104,462 -57,680 $2,845
     HZNP104,462-57,680$2,845
Upland Software Inc. 70,535 -40,078 $2,459
     UPLD70,535-40,078$2,459
Five9 Inc. 44,400 -26,214 $2,386
     FIVN44,400-26,214$2,386
CyberArk Software Ltd. 23,044 -14,339 $2,300
     CYBR23,044-14,339$2,300
Omnicell Inc. 30,617 -17,811 $2,213
     OMCL30,617-17,811$2,213
AtriCure Inc. 87,809 -46,887 $2,190
     ATRC87,809-46,887$2,190
MaxLinear Inc. 89,316 -55,896 $1,999
     MXL89,316-55,896$1,999
Supernus Pharmaceuticals Inc. 49,462 -27,930 $1,359
     SUPN49,462-27,930$1,359
SPDR S&P 500 ETF TR (SPY) 4,150 -300 $1,232
     SPY4,150-300$1,232
RTI Surgical Inc. 415,577 -306,820 $1,184
     RTIX415,577-306,820$1,184
CommVault Systems Inc. 25,962 -16,218 $1,161
     CVLT25,962-16,218$1,161
Intersect ENT Inc. 67,390 -65,534 $1,146
     XENT67,390-65,534$1,146
Ligand Pharmaceuticals Inc 10,578 -3,685 $1,053
     LGND10,578-3,685$1,053
Apple Inc. 4,494 UNCH $1,006
     AAPL4,494UNCH$1,006
Procter & Gamble 5,394 -472 $671
     PG5,394-472$671
Invesco QQQ Trust 3,425 UNCH $647
     QQQ3,425UNCH$647
Aflac Inc. 11,895 -903 $622
     AFL11,895-903$622
Marriott Intl. Inc. 4,888 -388 $608
     MAR4,888-388$608
JP Morgan Chase & Co. 5,049 -428 $594
     JPM5,049-428$594
Vanguard Index FDS (VTI) 3,800 UNCH $574
     VTI3,800UNCH$574
Southwest Airls Co. 10,467 -721 $565
     LUV10,467-721$565
American Express Co. 4,588 -323 $543
     AXP4,588-323$543
V F Corp. 6,041 -484 $538
     VFC6,041-484$538
Ecolab Inc. 2,636 -237 $522
     ECL2,636-237$522
Cummins Inc. 3,045 -238 $495
     CMI3,045-238$495
3M Co. 2,962 -181 $487
     MMM2,962-181$487
Verizon Communications 7,936 -586 $479
     VZ7,936-586$479
Exelon Corp. 9,286 -868 $449
     EXC9,286-868$449
Johnson & Johnson 3,457 -287 $447
     JNJ3,457-287$447
T. Rowe Price 3,770 -328 $431
     TROW3,770-328$431
TJX Cos. Inc. New 6,800 -656 $379
     TJX6,800-656$379
Valero Energy Corp. New 4,319 -365 $368
     VLO4,319-365$368
Vanguard Scottsdale FDS (VCSH) 4,300 UNCH $349
     VCSH4,300UNCH$349
Chevron Corp. 2,665 -206 $316
     CVX2,665-206$316
Vanguard Group (VIG) 2,400 UNCH $287
     VIG2,400UNCH$287
iShares TR (IWO) 1,205 UNCH $232
     IWO1,205UNCH$232
Microsoft Corp. 1,655 -213 $230
     MSFT1,655-213$230
Intel Corp. 4,225 -280 $218
     INTC4,225-280$218
Starbucks Corp. 2,411 -179 $213
     SBUX2,411-179$213

See Full List: All Stocks Held By Kopp Investment Advisors LLC
Including:
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Kopp Investment Advisors LLC

Size ($ in 1000's)
At 09/30/2019: $54,418
At 06/30/2019: $87,772

Kopp Investment Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Kopp Investment Advisors LLC 13F filings. Link to 13F filings: SEC filings

Kopp Investment Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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