HoldingsChannel.com
Spark Investment Management LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
ROKU INC 716,200 +80,200 $46,202
     ROKU716,200+80,200$46,202
ABBVIE INC 469,900 +469,900 $37,869
     ABBV469,900+469,900$37,869
HEWLETT PACKARD ENTERPRISE C 2,177,200 UNCH $33,594
     HPE2,177,200UNCH$33,594
DROPBOX INC 1,512,400 +189,000 $32,970
     DBX1,512,400+189,000$32,970
IROBOT CORP 247,100 +151,700 $29,081
     IRBT247,100+151,700$29,081
SMARTSHEET INC 703,100 +175,300 $28,679
     SMAR703,100+175,300$28,679
HUBSPOT INC 161,700 +86,700 $26,876
     HUBS161,700+86,700$26,876
PLURALSIGHT INC 833,500 +251,500 $26,455
     PS833,500+251,500$26,455
MONGODB INC 179,300 +63,300 $26,360
     MDB179,300+63,300$26,360
CARGURUS INC 642,700 +135,400 $25,746
     CARG642,700+135,400$25,746
NEVRO CORP 403,400 +238,700 $25,216
     NVRO403,400+238,700$25,216
PURE STORAGE INC 1,096,846 +228,246 $23,900
     PSTG1,096,846+228,246$23,900
BEST BUY INC 330,800 +289,400 $23,506
     BBY330,800+289,400$23,506
PUMA BIOTECHNOLOGY INC 570,800 +96,700 $22,141
     PBYI570,800+96,700$22,141
AMICUS THERAPEUTICS INC 1,606,400 +822,700 $21,847
     FOLD1,606,400+822,700$21,847
KIRKLAND LAKE GOLD LTD 717,000 +118,000 $21,827
     KL717,000+118,000$21,827
ZSCALER INC 306,200 +222,100 $21,718
     ZS306,200+222,100$21,718
CALIFORNIA RES CORP 841,182 +98,100 $21,626
     CRC841,182+98,100$21,626
PTC THERAPEUTICS INC 566,000 +204,100 $21,304
     PTCT566,000+204,100$21,304
KNOWLES CORP 1,185,400 +480,700 $20,898
     KN1,185,400+480,700$20,898
ILLUMINA INC 64,700 UNCH $20,101
     ILMN64,700UNCH$20,101
RINGCENTRAL INC 182,140 +55,740 $19,634
     RNG182,140+55,740$19,634
SHUTTERFLY INC 470,700 +232,500 $19,129
     SFLY470,700+232,500$19,129
PBF ENERGY INC 611,600 -51,100 $19,045
     PBF611,600-51,100$19,045
HERC HLDGS INC 434,200 +168,100 $16,925
     HRI434,200+168,100$16,925
STITCH FIX INC 599,500 -163,584 $16,923
     SFIX599,500-163,584$16,923
BLOOMIN BRANDS INC 822,200 +363,000 $16,813
     BLMN822,200+363,000$16,813
CLOVIS ONCOLOGY INC 673,100 +227,800 $16,706
     CLVS673,100+227,800$16,706
FITBIT INC 2,807,200 +2,807,200 $16,618
     FIT2,807,200+2,807,200$16,618
ESPERION THERAPEUTICS INC NE 390,900 +163,800 $15,694
     ESPR390,900+163,800$15,694
GOPRO INC 2,383,800 +1,132,700 $15,494
     GPRO2,383,800+1,132,700$15,494
SONOS INC 1,470,400 +1,192,658 $15,130
     SONO1,470,400+1,192,658$15,130
PAYPAL HLDGS INC 144,900 +144,900 $15,046
     PYPL144,900+144,900$15,046
GREENSKY INC 1,152,200 +330,414 $14,909
     GSKY1,152,200+330,414$14,909
ETSY INC 209,500 +169,500 $14,082
     ETSY209,500+169,500$14,082
SLEEP NUMBER CORP 298,500 +177,100 $14,029
     SNBR298,500+177,100$14,029
RADIUS HEALTH INC 677,800 +91,200 $13,515
     RDUS677,800+91,200$13,515
VALVOLINE INC 720,400 +433,600 $13,370
     VVV720,400+433,600$13,370
CERIDIAN HCM HLDG INC 257,800 +190,100 $13,225
     CDAY257,800+190,100$13,225
TUPPERWARE BRANDS CORP 500,200 +407,300 $12,795
     TUP500,200+407,300$12,795
OKTA INC 150,400 +150,400 $12,442
     OKTA150,400+150,400$12,442
KOHLS CORP 177,400 +83,343 $12,199
     KSS177,400+83,343$12,199
FUNKO INC 544,570 +50,470 $11,828
     FNKO544,570+50,470$11,828
SHUTTERSTOCK INC 251,500 +26,600 $11,727
     SSTK251,500+26,600$11,727
INVITAE CORP 497,050 -48,500 $11,640
     NVTA497,050-48,500$11,640
PILGRIMS PRIDE CORP NEW 510,800 +413,742 $11,385
     PPC510,800+413,742$11,385
EXACT SCIENCES CORP 131,200 +131,200 $11,364
     EXAS131,200+131,200$11,364
DOCUSIGN INC 218,100 +218,100 $11,306
     DOCU218,100+218,100$11,306
HYATT HOTELS CORP 146,500 +63,500 $10,631
     H146,500+63,500$10,631
APPFOLIO INC 133,800 +27,000 $10,623
     APPF133,800+27,000$10,623

See Full List: All Stocks Held By Spark Investment Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Spark Investment Management LLC

Size ($ in 1000's)
At 03/31/2019: $2,161,009
At 12/31/2018: $1,450,109

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

Spark Investment Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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