HoldingsChannel.com
Stephens Investment Management Group LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ICON PLC 569,116 -18,615 $77,400
     ICLR569,116-18,615$77,400
REPLIGEN CORP 748,648 +33,312 $72,274
     RGEN748,648+33,312$72,274
DEXCOM INC 265,782 -17,867 $71,567
     DXCM265,782-17,867$71,567
MARKETAXESS HLDGS INC 214,502 -9,655 $71,337
     MKTX214,502-9,655$71,337
PROOFPOINT INC 604,416 -18,378 $62,007
     PFPT604,416-18,378$62,007
DOMINOS PIZZA INC 188,679 -12,988 $61,145
     DPZ188,679-12,988$61,145
FIRSTCASH INC 840,679 +30,341 $60,310
     FCFS840,679+30,341$60,310
IDEXX LABS INC 241,301 -9,501 $58,453
     IDXX241,301-9,501$58,453
COSTAR GROUP INC 99,195 -30,934 $58,248
     CSGP99,195-30,934$58,248
OLLIES BARGAIN OUTLT HLDGS I 1,230,244 +157,509 $57,010
     OLLI1,230,244+157,509$57,010
TYLER TECHNOLOGIES INC 191,114 -12,145 $56,677
     TYL191,114-12,145$56,677
TAKE TWO INTERACTIVE SOFTWAR 471,832 +107,205 $55,964
     TTWO471,832+107,205$55,964
ENVESTNET INC 1,031,394 -69,604 $55,468
     ENV1,031,394-69,604$55,468
MERCURY SYS INC 764,340 -8,613 $54,528
     MRCY764,340-8,613$54,528
WINGSTOP INC 658,434 +107,790 $52,477
     WING658,434+107,790$52,477
VERISK ANALYTICS INC 374,236 -19,837 $52,161
     VRSK374,236-19,837$52,161
CADENCE DESIGN SYSTEM INC 771,631 -35,507 $50,959
     CDNS771,631-35,507$50,959
AXON ENTERPRISE INC 718,508 -47,371 $50,849
     AAXN718,508-47,371$50,849
ASPEN TECHNOLOGY INC 528,961 -208,408 $50,288
     AZPN528,961-208,408$50,288
PRA GROUP INC 1,813,670 -68,529 $50,275
     PRAA1,813,670-68,529$50,275
PENUMBRA INC 310,957 -3,322 $50,167
     PEN310,957-3,322$50,167
LIVE NATION ENTERTAINMENT IN 1,083,190 +151,927 $49,242
     LYV1,083,190+151,927$49,242
KRATOS DEFENSE & SEC SOLUTIO 3,536,747 +659,628 $48,949
     KTOS3,536,747+659,628$48,949
SEMTECH CORP 1,282,912 +78,795 $48,109
     SMTC1,282,912+78,795$48,109
RESMED INC 319,333 -20,587 $47,035
     RMD319,333-20,587$47,035
RINGCENTRAL INC 221,137 -4,342 $46,861
     RNG221,137-4,342$46,861
BURLINGTON STORES INC 294,967 -48,303 $46,740
     BURL294,967-48,303$46,740
TRADEWEB MKTS INC 1,108,463 +142,572 $46,600
     TW1,108,463+142,572$46,600
SITEONE LANDSCAPE SUPPLY INC 630,451 -8,035 $46,414
     SITE630,451-8,035$46,414
DOCUSIGN INC 497,845 -28,276 $46,001
     DOCU497,845-28,276$46,001
PRA HEALTH SCIENCES INC 552,281 +82,125 $45,861
     PRAH552,281+82,125$45,861
HEALTHEQUITY INC 890,534 +87,722 $45,052
     HQY890,534+87,722$45,052
PALOMAR HLDGS INC 764,650 +58,860 $44,472
     PLMR764,650+58,860$44,472
TREX CO INC 548,874 -17,975 $43,987
     TREX548,874-17,975$43,987
LIGAND PHARMACEUTICALS INC 579,625 +71,525 $42,150
     LGND579,625+71,525$42,150
CALAVO GROWERS INC 728,146 +59,078 $42,007
     CVGW728,146+59,078$42,007
PACIRA BIOSCIENCES 1,241,189 -18,470 $41,617
     PCRX1,241,189-18,470$41,617
COGNEX CORP 968,637 -20,367 $40,896
     CGNX968,637-20,367$40,896
MANHATTAN ASSOCS INC 816,645 +86,691 $40,685
     MANH816,645+86,691$40,685
HMS HLDGS CORP 1,597,163 +52,672 $40,360
     HMSY1,597,163+52,672$40,360
PROTO LABS INC 525,910 -6,400 $40,038
     PRLB525,910-6,400$40,038
ENCORE CAP GROUP INC 1,688,875 +892,133 $39,486
     ECPG1,688,875+892,133$39,486
FIVE9 INC 515,637 +86,838 $39,426
     FIVN515,637+86,838$39,426
HEICO CORP NEW      $39,080
     HEI.A611,581-296,563$39,080
BRIGHT HORIZONS FAM SOL IN D 382,459 -55,148 $39,011
     BFAM382,459-55,148$39,011
FLOOR & DECOR HLDGS INC 1,210,287 +98,164 $38,838
     FND1,210,287+98,164$38,838
NEOGEN CORP 560,636 -8,663 $37,557
     NEOG560,636-8,663$37,557
POWER INTEGRATIONS INC 420,324 -5,732 $37,127
     POWI420,324-5,732$37,127
IAC INTERACTIVECORP 205,531 -4,481 $36,837
     IAC205,531-4,481$36,837
SILICON LABORATORIES INC 431,048 -5,341 $36,816
     SLAB431,048-5,341$36,816

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 03/31/2020: $4,134,206
At 12/31/2019: $5,323,749

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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