HoldingsChannel.com
Stephens Investment Management Group LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
ASPEN TECHNOLOGY INC 741,903 -17,875 $91,313
     AZPN741,903-17,875$91,313
HEICO CORP NEW      $88,812
     HEI.A912,672-12,000$88,812
AARONS INC 1,380,297 +2,677 $88,698
     AAN1,380,297+2,677$88,698
COSTAR GROUP INC 148,092 -11,302 $87,848
     CSGP148,092-11,302$87,848
ICON PLC 567,172 -6,154 $83,567
     ICLR567,172-6,154$83,567
PROOFPOINT INC 621,099 -3,968 $80,153
     PFPT621,099-3,968$80,153
EURONET WORLDWIDE INC 546,641 -3,970 $79,974
     EEFT546,641-3,970$79,974
FLIR SYS INC 1,433,690 +163,914 $75,398
     FLIR1,433,690+163,914$75,398
MARKETAXESS HLDGS INC 224,758 -27,211 $73,608
     MKTX224,758-27,211$73,608
IDEXX LABS INC 266,303 -6,141 $72,416
     IDXX266,303-6,141$72,416
BURLINGTON STORES INC 343,331 +8,378 $68,604
     BURL343,331+8,378$68,604
FIRSTCASH INC 737,564 +26,444 $67,612
     FCFS737,564+26,444$67,612
BRIGHT HORIZONS FAM SOL IN D 439,144 -2,947 $66,969
     BFAM439,144-2,947$66,969
CALAVO GROWERS INC 671,210 -16,551 $63,886
     CVGW671,210-16,551$63,886
PRA GROUP INC 1,887,407 +141,241 $63,775
     PRAA1,887,407+141,241$63,775
VERISK ANALYTICS INC 394,934 +12,562 $62,455
     VRSK394,934+12,562$62,455
MERCURY SYS INC 742,480 -20,486 $60,267
     MRCY742,480-20,486$60,267
WEX INC 296,451 +528 $59,904
     WEX296,451+528$59,904
LIVE NATION ENTERTAINMENT IN 896,678 +26,766 $59,486
     LYV896,678+26,766$59,486
MANHATTAN ASSOCS INC 715,922 -23,158 $57,753
     MANH715,922-23,158$57,753
OLLIES BARGAIN OUTLT HLDGS I 979,482 +124,258 $57,437
     OLLI979,482+124,258$57,437
REPLIGEN CORP 719,031 -20,085 $55,142
     RGEN719,031-20,085$55,142
PROTO LABS INC 536,972 -11,678 $54,825
     PRLB536,972-11,678$54,825
Q2 HLDGS INC 693,353 -41,495 $54,685
     QTWO693,353-41,495$54,685
SEMTECH CORP 1,116,752 -5,869 $54,285
     SMTC1,116,752-5,869$54,285
SHOPIFY INC 173,505 +3,522 $54,075
     SHOP173,505+3,522$54,075
TYLER TECHNOLOGIES INC 204,896 +3,791 $53,785
     TYL204,896+3,791$53,785
CADENCE DESIGN SYSTEM INC 808,719 +25,495 $53,440
     CDNS808,719+25,495$53,440
ENVESTNET INC 938,910 +23,533 $53,236
     ENV938,910+23,533$53,236
DOMINOS PIZZA INC 212,233 +44,443 $51,910
     DPZ212,233+44,443$51,910
TREX CO INC 569,720 +199,849 $51,805
     TREX569,720+199,849$51,805
FLOOR & DECOR HLDGS INC 1,000,397 +359,107 $51,170
     FND1,000,397+359,107$51,170
PROS HOLDINGS INC 856,173 -70,158 $51,028
     PRO856,173-70,158$51,028
LIGAND PHARMACEUTICALS INC 511,280 +69,093 $50,893
     LGND511,280+69,093$50,893
KRATOS DEFENSE & SEC SOLUTIO 2,714,509 +679,968 $50,476
     KTOS2,714,509+679,968$50,476
HMS HLDGS CORP 1,434,664 -45,291 $49,446
     HMSY1,434,664-45,291$49,446
RESMED INC 364,631 +11,128 $49,265
     RMD364,631+11,128$49,265
SILICON LABORATORIES INC 440,246 -10,188 $49,021
     SLAB440,246-10,188$49,021
COGNEX CORP 995,359 +78,900 $48,902
     CGNX995,359+78,900$48,902
PACIRA BIOSCIENCES 1,263,561 +52,956 $48,104
     PCRX1,263,561+52,956$48,104
SITEONE LANDSCAPE SUPPLY INC 644,540 -15,876 $47,709
     SITE644,540-15,876$47,709
WINGSTOP INC 539,440 -50,456 $47,082
     WING539,440-50,456$47,082
L3HARRIS TECHNOLOGIES INC 225,225 +225,225 $46,991
     LHX225,225+225,225$46,991
IAC INTERACTIVECORP 210,388 +22,939 $45,858
     IAC210,388+22,939$45,858
MICROCHIP TECHNOLOGY INC 489,254 +49,013 $45,457
     MCHP489,254+49,013$45,457
PRA HEALTH SCIENCES INC 453,776 +25,115 $45,028
     PRAH453,776+25,115$45,028
LULULEMON ATHLETICA INC 231,870 -39,683 $44,642
     LULU231,870-39,683$44,642
DEXCOM INC 298,331 +7,977 $44,523
     DXCM298,331+7,977$44,523
GUIDEWIRE SOFTWARE INC 414,637 -5,862 $43,694
     GWRE414,637-5,862$43,694
AXON ENTERPRISE INC 768,530 +33,256 $43,637
     AAXN768,530+33,256$43,637

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

See Details: Top 10 Stocks Held By Stephens Investment Management Group LLC

Size ($ in 1000's)
At 09/30/2019: $4,991,692
At 06/30/2019: $5,283,862

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

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

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