HoldingsChannel.com
Westfield Capital Management Co. LP Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
APPLE INC 1,424,618 +22,124 $362,266
     AAPL1,424,618+22,124$362,266
MICROSOFT CORP 2,251,704 +287,518 $355,116
     MSFT2,251,704+287,518$355,116
AMAZON COM INC 172,404 +407 $336,140
     AMZN172,404+407$336,140
ALPHABET INC 256,074 -4,903 $297,545
     GOOGL256,074-4,903$297,545
SERVICENOW INC 757,574 -35,402 $217,106
     NOW757,574-35,402$217,106
FIDELITY NATL INFORMATION SV 1,769,957 +167,213 $215,298
     FIS1,769,957+167,213$215,298
FACEBOOK INC 1,253,974 -38,560 $209,163
     FB1,253,974-38,560$209,163
VISA INC 1,185,935 -143,889 $191,078
     V1,185,935-143,889$191,078
SPLUNK INC 1,381,744 +37,315 $174,418
     SPLK1,381,744+37,315$174,418
SALESFORCE COM INC 1,153,424 +28,023 $166,070
     CRM1,153,424+28,023$166,070
L3HARRIS TECHNOLOGIES INC 852,470 +97,976 $153,547
     LHX852,470+97,976$153,547
ASCENDIS PHARMA A S 1,363,342 +102,586 $153,526
     ASND1,363,342+102,586$153,526
HOME DEPOT INC 810,313 +40,809 $151,294
     HD810,313+40,809$151,294
VERTEX PHARMACEUTICALS INC 627,490 -90,178 $149,311
     VRTX627,490-90,178$149,311
HUMANA INC 458,306 +458,306 $143,917
     HUM458,306+458,306$143,917
TELEDYNE TECHNOLOGIES INC 476,818 -156,410 $141,744
     TDY476,818-156,410$141,744
GLOBAL PMTS INC 966,093 +89,349 $139,340
     GPN966,093+89,349$139,340
BIO RAD LABS INC 389,898 -70,731 $136,683
     BIO389,898-70,731$136,683
TRANE TECHNOLOGIES PLC 1,638,159 +1,638,159 $135,296
     TT1,638,159+1,638,159$135,296
DEXCOM INC 501,787 -110,337 $135,116
     DXCM501,787-110,337$135,116
THERMO FISHER SCIENTIFIC INC 458,961 +1,662 $130,161
     TMO458,961+1,662$130,161
S&P GLOBAL INC 494,899 +737 $121,275
     SPGI494,899+737$121,275
FORTINET INC 1,159,712 +110,691 $117,328
     FTNT1,159,712+110,691$117,328
CHARTER COMMUNICATIONS INC N 266,057 +197 $116,083
     CHTR266,057+197$116,083
TRANSDIGM GROUP INC 359,386 -75,138 $115,072
     TDG359,386-75,138$115,072
APPLIED MATLS INC 2,421,339 +76,279 $110,946
     AMAT2,421,339+76,279$110,946
ZENDESK INC 1,729,420 +607,637 $110,700
     ZEN1,729,420+607,637$110,700
AMETEK INC 1,525,827 -100,742 $109,890
     AME1,525,827-100,742$109,890
PAYPAL HLDGS INC 1,144,169 +346,599 $109,543
     PYPL1,144,169+346,599$109,543
ALEXANDRIA REAL ESTATE EQ IN 798,170 +166,327 $109,397
     ARE798,170+166,327$109,397
BRISTOL MYERS SQUIBB CO 1,917,069 +399,439 $106,857
     BMY1,917,069+399,439$106,857
NVIDIA CORP 404,322 +45,818 $106,579
     NVDA404,322+45,818$106,579
ICON PLC 772,782 +93,021 $105,098
     ICLR772,782+93,021$105,098
NOVARTIS A G 1,252,684 +157,166 $103,284
     NVS1,252,684+157,166$103,284
GALLAGHER ARTHUR J & CO 1,201,309 +26,648 $97,919
     AJG1,201,309+26,648$97,919
METTLER TOLEDO INTERNATIONAL 141,462 -79,756 $97,681
     MTD141,462-79,756$97,681
STERIS PLC 656,414 -50,277 $91,878
     STE656,414-50,277$91,878
BROADCOM INC 386,051 +33,703 $91,533
     AVGO386,051+33,703$91,533
ILLINOIS TOOL WKS INC 629,902 -24,052 $89,522
     ITW629,902-24,052$89,522
SBA COMMUNICATIONS CORP NEW 320,307 +94,154 $86,473
     SBAC320,307+94,154$86,473
IDEXX LABS INC 354,957 +21,217 $85,985
     IDXX354,957+21,217$85,985
HUNT J B TRANS SVCS INC 902,623 +15,249 $83,249
     JBHT902,623+15,249$83,249
UNION PAC CORP 579,091 +1,257 $81,675
     UNP579,091+1,257$81,675
NICE LTD 561,291 -28,209 $80,579
     NICE561,291-28,209$80,579
NIKE INC 939,147 +934,067 $77,705
     NKE939,147+934,067$77,705
CISCO SYS INC 1,975,876 +1,975,876 $77,672
     CSCO1,975,876+1,975,876$77,672
MASIMO CORP 433,277 -2,548 $76,742
     MASI433,277-2,548$76,742
BLACKSTONE GROUP INC 1,644,886 -359,634 $74,957
     BX1,644,886-359,634$74,957
TREX CO INC 934,702 -35,338 $74,907
     TREX934,702-35,338$74,907
BIOMARIN PHARMACEUTICAL INC 838,657 +321,207 $70,867
     BMRN838,657+321,207$70,867

See Full List: All Stocks Held By Westfield Capital Management Co. LP
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Westfield Capital Management Co. LP

Size ($ in 1000's)
At 03/31/2020: $11,354,045
At 12/31/2019: $14,042,622

Westfield Capital Management Co. LP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Westfield Capital Management Co. LP 13F filings. Link to 13F filings: SEC filings

Westfield Capital Management Co. LP Top Holdings 13F Filings | www.HoldingsChannel.com

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