HoldingsChannel.com
Stephens Investment Management Group LLC Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
OLLIES BARGAIN OUTLET HLDGS 1,098,804 -131,440 $107,298
     OLLI1,098,804-131,440$107,298
MARKETAXESS HLDGS INC 194,652 -19,850 $97,505
     MKTX194,652-19,850$97,505
ICON PLC 551,478 -17,638 $92,902
     ICLR551,478-17,638$92,902
REPLIGEN CORP 712,546 -36,102 $88,078
     RGEN712,546-36,102$88,078
DEXCOM INC 216,791 -48,991 $87,887
     DXCM216,791-48,991$87,887
ENVESTNET INC 1,108,220 +76,826 $81,498
     ENV1,108,220+76,826$81,498
DOCUSIGN INC 460,911 -36,934 $79,373
     DOCU460,911-36,934$79,373
IAC INTERACTIVECORP 244,264 +38,733 $78,995
     IAC244,264+38,733$78,995
IDEXX LABS INC 236,525 -4,776 $78,091
     IDXX236,525-4,776$78,091
MANHATTAN ASSOCS INC 800,556 -16,089 $75,412
     MANH800,556-16,089$75,412
AARONS INC 1,627,706 +245,212 $73,898
     AAN1,627,706+245,212$73,898
WINGSTOP INC 528,628 -129,806 $73,463
     WING528,628-129,806$73,463
CADENCE DESIGN SYSTEM INC 755,738 -15,893 $72,521
     CDNS755,738-15,893$72,521
LIGAND PHARMACEUTICALS INC 623,915 +44,290 $69,785
     LGND623,915+44,290$69,785
KORNIT DIGITAL LTD 1,300,198 -710 $69,405
     KRNT1,300,198-710$69,405
TAKE TWO INTERACTIVE SOFTWAR 495,713 +23,881 $69,187
     TTWO495,713+23,881$69,187
SITEONE LANDSCAPE SUPPLY INC 603,056 -27,395 $68,730
     SITE603,056-27,395$68,730
PRA GROUP INC 1,776,360 -37,310 $68,674
     PRAA1,776,360-37,310$68,674
FIRSTCASH INC 983,582 +142,903 $66,372
     FCFS983,582+142,903$66,372
PROOFPOINT INC 597,272 -7,144 $66,369
     PFPT597,272-7,144$66,369
SEMTECH CORP 1,256,592 -26,320 $65,619
     SMTC1,256,592-26,320$65,619
TYLER TECHNOLOGIES INC 188,225 -2,889 $65,291
     TYL188,225-2,889$65,291
AXON ENTERPRISE INC 655,407 -63,101 $64,315
     AAXN655,407-63,101$64,315
FIVE9 INC 574,706 +59,069 $63,603
     FIVN574,706+59,069$63,603
TRADEWEB MKTS INC 1,084,522 -23,941 $63,054
     TW1,084,522-23,941$63,054
VERISK ANALYTICS INC 367,365 -6,871 $62,526
     VRSK367,365-6,871$62,526
TANDEM DIABETES CARE INC 619,124 +53,112 $61,244
     TNDM619,124+53,112$61,244
RESMED INC 317,811 -1,522 $61,020
     RMD317,811-1,522$61,020
RINGCENTRAL INC 212,710 -8,427 $60,624
     RNG212,710-8,427$60,624
DOMINOS PIZZA INC 163,680 -24,999 $60,470
     DPZ163,680-24,999$60,470
PALOMAR HLDGS INC 704,322 -60,328 $60,403
     PLMR704,322-60,328$60,403
ENCORE CAP GROUP INC 1,713,089 +24,214 $58,553
     ECPG1,713,089+24,214$58,553
KRATOS DEFENSE & SEC SOLUTIO 3,732,461 +195,714 $58,338
     KTOS3,732,461+195,714$58,338
CHEGG INC 841,964 +194,755 $56,630
     CHGG841,964+194,755$56,630
PROTO LABS INC 502,256 -23,654 $56,489
     PRLB502,256-23,654$56,489
MERCURY SYS INC 701,749 -62,591 $55,200
     MRCY701,749-62,591$55,200
MERCADOLIBRE INC 55,661 -8,105 $54,869
     MELI55,661-8,105$54,869
PACIRA BIOSCIENCES 1,027,112 -214,077 $53,893
     PCRX1,027,112-214,077$53,893
PRA HEALTH SCIENCES INC 553,500 +1,219 $53,850
     PRAH553,500+1,219$53,850
PENUMBRA INC 300,292 -10,665 $53,698
     PEN300,292-10,665$53,698
TREX CO INC 411,593 -137,281 $53,536
     TREX411,593-137,281$53,536
MICROCHIP TECHNOLOGY INC. 506,087 -11,675 $53,296
     MCHP506,087-11,675$53,296
COGNEX CORP 846,148 -122,489 $50,532
     CGNX846,148-122,489$50,532
FLOOR & DECOR HLDGS INC 873,900 -336,387 $50,380
     FND873,900-336,387$50,380
HMS HLDGS CORP 1,554,222 -42,941 $50,341
     HMSY1,554,222-42,941$50,341
CALAVO GROWERS INC 777,046 +48,900 $48,884
     CVGW777,046+48,900$48,884
POWER INTEGRATIONS INC 407,004 -13,320 $48,079
     POWI407,004-13,320$48,079
Q2 HLDGS INC 559,555 -40,155 $48,004
     QTWO559,555-40,155$48,004
COSTAR GROUP INC 67,076 -32,119 $47,669
     CSGP67,076-32,119$47,669
HEICO CORP NEW      $46,544
     HEI.A572,923-38,658$46,544

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 06/30/2020: $5,518,802
At 03/31/2020: $4,134,206

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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