HoldingsChannel.com
Westfield Capital Management Co. LP Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
APPLE INC 1,402,494 +11,608 $411,842
     AAPL1,402,494+11,608$411,842
ALPHABET INC 260,977 +31,643 $349,550
     GOOGL260,977+31,643$349,550
AMAZON COM INC 171,997 -3,564 $317,823
     AMZN171,997-3,564$317,823
MICROSOFT CORP 1,964,186 -297,913 $309,752
     MSFT1,964,186-297,913$309,752
FACEBOOK INC 1,292,534 -13,087 $265,293
     FB1,292,534-13,087$265,293
VISA INC 1,329,824 -35,309 $249,874
     V1,329,824-35,309$249,874
TRANSDIGM GROUP INC 434,524 +207,933 $243,333
     TDG434,524+207,933$243,333
SERVICENOW INC 792,976 +49,082 $223,873
     NOW792,976+49,082$223,873
FIDELITY NATL INFORMATION SV 1,602,744 +21,268 $222,926
     FIS1,602,744+21,268$222,926
TELEDYNE TECHNOLOGIES INC 633,228 -20,857 $219,439
     TDY633,228-20,857$219,439
SPLUNK INC 1,344,429 +548,012 $201,355
     SPLK1,344,429+548,012$201,355
SALESFORCE COM INC 1,125,401 -5,338 $183,035
     CRM1,125,401-5,338$183,035
INGERSOLL RAND PLC 1,360,059 -40,046 $180,779
     IR1,360,059-40,046$180,779
METTLER TOLEDO INTERNATIONAL 221,218 -4,445 $175,488
     MTD221,218-4,445$175,488
ASCENDIS PHARMA A S 1,260,756 +136,702 $175,396
     ASND1,260,756+136,702$175,396
BIO RAD LABS INC 460,629 +48,717 $170,447
     BIO460,629+48,717$170,447
HOME DEPOT INC 769,504 -28,952 $168,044
     HD769,504-28,952$168,044
AMETEK INC NEW 1,626,569 -171,288 $162,234
     AME1,626,569-171,288$162,234
MARATHON PETE CORP 2,669,780 -70,217 $160,854
     MPC2,669,780-70,217$160,854
GLOBAL PMTS INC 876,744 -21,772 $160,058
     GPN876,744-21,772$160,058
VERTEX PHARMACEUTICALS INC 717,668 -215,080 $157,133
     VRTX717,668-215,080$157,133
L3HARRIS TECHNOLOGIES INC 754,494 -17,926 $149,292
     LHX754,494-17,926$149,292
THERMO FISHER SCIENTIFIC INC 457,299 -10,177 $148,563
     TMO457,299-10,177$148,563
APPLIED MATLS INC 2,345,060 +309,354 $143,142
     AMAT2,345,060+309,354$143,142
S&P GLOBAL INC 494,162 +9,283 $134,931
     SPGI494,162+9,283$134,931
ELDORADO RESORTS INC 2,249,305 +888,446 $134,149
     ERI2,249,305+888,446$134,149
DEXCOM INC 612,124 +30,671 $133,896
     DXCM612,124+30,671$133,896
CHARTER COMMUNICATIONS INC N 265,860 -92,747 $128,963
     CHTR265,860-92,747$128,963
BOSTON SCIENTIFIC CORP 2,618,634 +647,200 $118,415
     BSX2,618,634+647,200$118,415
ILLINOIS TOOL WKS INC 653,954 -133,067 $117,470
     ITW653,954-133,067$117,470
ICON PLC 679,761 +22,615 $117,075
     ICLR679,761+22,615$117,075
CATERPILLAR INC DEL 788,043 +47,037 $116,378
     CAT788,043+47,037$116,378
MEDICINES CO 1,368,720 -5,099,682 $116,259
     MDCO1,368,720-5,099,682$116,259
LPL FINL HLDGS INC 1,251,728 +367,788 $115,472
     LPLA1,251,728+367,788$115,472
TRANSUNION 1,346,729 +71,856 $115,293
     TRU1,346,729+71,856$115,293
BLACKSTONE GROUP INC 2,004,520 +241,409 $112,133
     BX2,004,520+241,409$112,133
FORTINET INC 1,049,021 +49,032 $111,993
     FTNT1,049,021+49,032$111,993
GALLAGHER ARTHUR J & CO 1,174,661 +52,076 $111,863
     AJG1,174,661+52,076$111,863
BROADCOM INC 352,348 +5,028 $111,349
     AVGO352,348+5,028$111,349
BROOKFIELD ASSET MGMT INC 1,871,919 -152,177 $108,197
     BAM1,871,919-152,177$108,197
STERIS PLC 706,691 +7,698 $107,714
     STE706,691+7,698$107,714
UNION PACIFIC CORP 577,834 +34,997 $104,467
     UNP577,834+34,997$104,467
NOVARTIS A G 1,095,518 +1,095,518 $103,735
     NVS1,095,518+1,095,518$103,735
HUNT J B TRANS SVCS INC 887,374 +43,372 $103,628
     JBHT887,374+43,372$103,628
ALEXANDRIA REAL ESTATE EQ IN 631,843 -2,792 $102,093
     ARE631,843-2,792$102,093
BRISTOL MYERS SQUIBB CO 1,517,630 -157,223 $97,417
     BMY1,517,630-157,223$97,417
NCR CORP NEW 2,753,407 +1,400,688 $96,810
     NCR2,753,407+1,400,688$96,810
NICE LTD 589,500 +21,417 $91,461
     NICE589,500+21,417$91,461
HILTON WORLDWIDE HLDGS INC 823,135 +52,567 $91,294
     HLT823,135+52,567$91,294
CONSTELLATION BRANDS INC 474,801 -27,155 $90,093
     STZ474,801-27,155$90,093

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 12/31/2019: $14,042,622
At 09/30/2019: $12,488,835

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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