HoldingsChannel.com
All Stocks Held By Scout Investments Inc.
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
ROYAL CARIBBEAN CRUISES LTD. 721,428 +498,352 $96,318
     RCL721,428+498,352$96,318
AGNC INVESTMENT CORP 5,190,614 -1,689,684 $91,770
     AGNC5,190,614-1,689,684$91,770
SKYWORKS SOLUTIONS INC. 751,372 +234,989 $90,826
     SWKS751,372+234,989$90,826
LINCOLN NATIONAL CORPORATION 1,441,180 +731,540 $85,044
     LNC1,441,180+731,540$85,044
DOLLAR GENERAL CORPORATION 536,476 -65,737 $83,680
     DG536,476-65,737$83,680
MID AMERICA APARTMENT COMMUNITIES INC. 549,524 -57,146 $72,460
     MAA549,524-57,146$72,460
TELEFLEX INCORPORATED 190,843 +97,733 $71,841
     TFX190,843+97,733$71,841
WEC ENERGY GROUP INCORPORATION 778,784 -792,523 $71,827
     WEC778,784-792,523$71,827
CASEYS GEN STORES 442,845 -86,443 $70,408
     CASY442,845-86,443$70,408
IHS MARKIT LTD 890,502 +890,502 $67,099
     INFO890,502+890,502$67,099
NORWEGIAN CRUISE LINE HOLDINGS LTD 1,098,744 +327,792 $64,178
     NCLH1,098,744+327,792$64,178
ALLY FINANCIAL INC. 2,016,231 +1,103,082 $61,616
     ALLY2,016,231+1,103,082$61,616
ZYNGA INC 8,723,198 +1,736,119 $53,386
     ZNGA8,723,198+1,736,119$53,386
RBS CITIZENS FINANCIAL GROUP INC 1,255,983 +392,171 $51,005
     CFG1,255,983+392,171$51,005
BAKER HUGHES COMPANY 1,976,625 +1,976,625 $50,661
     BHGE1,976,625+1,976,625$50,661
MARSH & MCLENNAN COMPANIES INC. 454,219 -295,590 $50,605
     MMC454,219-295,590$50,605
THE HARTFORD FINANCIAL SERVICES GROUP INC. 813,621 +589,631 $49,444
     HIG813,621+589,631$49,444
ROKU INC 363,985 +363,985 $48,738
     ROKU363,985+363,985$48,738
LEAR CORPORATION 355,203 +180,344 $48,734
     LEA355,203+180,344$48,734
PORTLAND GENERAL ELECTRIC COMPANY 817,841 +196,955 $45,627
     POR817,841+196,955$45,627
UNITED RENTALS INC. 267,278 -1,943 $44,574
     URI267,278-1,943$44,574
CMS ENERGY CORPORATION 689,248 -509,115 $43,312
     CMS689,248-509,115$43,312
ZEBRA TECHNOLOGIES CORPORATION 167,472 -34,046 $42,779
     ZBRA167,472-34,046$42,779
KANSAS CITY SOUTHERN 278,168 -33,840 $42,604
     KSU278,168-33,840$42,604
COUSINS PROPERTIES INCORPORATED 1,029,636 -73,585 $42,421
     CUZ1,029,636-73,585$42,421
SPLUNK INC 282,204 -90,815 $42,266
     SPLK282,204-90,815$42,266
SYNOVUS FINANCIAL CORP. 1,061,447 -34,497 $41,609
     SNV1,061,447-34,497$41,609
EXPEDIA GROUP INC 383,990 +321,984 $41,525
     EXPE383,990+321,984$41,525
OMEGA HEALTHCARE INVESTORS INC. 965,546 -36,075 $40,891
     OHI965,546-36,075$40,891
DOCUSIGN INC 550,723 -542,703 $40,814
     DOCU550,723-542,703$40,814
OWENS CORNING 611,699 +241,428 $39,834
     OC611,699+241,428$39,834
ONE GAS INC. 424,683 -78,000 $39,738
     OGS424,683-78,000$39,738
ADVANCED MICRO DEVICES INC. 863,983 -575,946 $39,622
     AMD863,983-575,946$39,622
EPR PROPERTIES 558,707 -170,569 $39,467
     EPR558,707-170,569$39,467
AMERICOLD REALTY T 1,099,285 -777,297 $38,541
     COLD1,099,285-777,297$38,541
KLA CORPORATION 215,835 +215,835 $38,455
     KLAC215,835+215,835$38,455
HUNTSMAN CORPORATION 1,588,794 +471,114 $38,385
     HUN1,588,794+471,114$38,385
GENERAC HLDGS 376,561 -139,132 $37,878
     GNRC376,561-139,132$37,878
FTI CONSULTING INC. 340,568 -42,150 $37,687
     FCN340,568-42,150$37,687
FLEETCOR TECHNOLO 130,353 -25,392 $37,505
     FLT130,353-25,392$37,505
BROWN & BROWN INC 945,000 -985,315 $37,309
     BRO945,000-985,315$37,309
ATMOS ENERGY CORPORATION 332,922 -275,873 $37,241
     ATO332,922-275,873$37,241
HOST HOTELS & RESORTS INC 1,974,535 -61,384 $36,628
     HST1,974,535-61,384$36,628
ARCH CAPITAL GROUP LTD. 841,870 -39,059 $36,108
     ACGL841,870-39,059$36,108
BIOMARIN PHARMACEUTICAL INC. 401,147 +285,203 $33,917
     BMRN401,147+285,203$33,917
XYLEM INC. 429,896 -38,717 $33,872
     XYL429,896-38,717$33,872
MASIMO CORPORATION 213,651 +5,435 $33,770
     MASI213,651+5,435$33,770
ZSCALER INC 722,943 +722,943 $33,617
     ZS722,943+722,943$33,617
EVERCORE INC 443,844 +75,012 $33,182
     EVR443,844+75,012$33,182
KIRKLAND LAKE GO 746,049 -555,002 $32,878
     KL746,049-555,002$32,878
LAMAR ADVERTISING COMPANY 366,291 +140,739 $32,695
     LAMR366,291+140,739$32,695
ONEOK INC. 430,962 -174,561 $32,611
     OKE430,962-174,561$32,611
VULCAN MATERIALS COMPANY 224,767 -15,419 $32,364
     VMC224,767-15,419$32,364
MARTIN MARIETTA MATERIALS INC 112,687 -5,294 $31,512
     MLM112,687-5,294$31,512
ANALOG DEVICES INC. 260,307 +69,530 $30,935
     ADI260,307+69,530$30,935
VOYA FINANCIAL INC 505,143 -104,819 $30,804
     VOYA505,143-104,819$30,804
HUMANA INC. 83,799 +48,930 $30,714
     HUM83,799+48,930$30,714
LAM RESEARCH CORPORATION 104,647 +104,647 $30,599
     LRCX104,647+104,647$30,599
EURONET WORLDWIDE INC. 193,832 +193,832 $30,540
     EEFT193,832+193,832$30,540
MARATHON PETROLEUM COMPANY 506,463 +49,791 $30,514
     MPC506,463+49,791$30,514
TYSON FOODS INC. 335,094 +28,991 $30,507
     TSN335,094+28,991$30,507
AMERICAN EAGLE OUTFITTER 2,006,924 -107,056 $29,502
     AEO2,006,924-107,056$29,502
L3HARRIS TECHNOLOGIES INC 146,840 -101,663 $29,055
     LHX146,840-101,663$29,055
COSTAR GROUP INC 48,468 +48,468 $28,998
     CSGP48,468+48,468$28,998
EDWARDS LIFESCIENCES CORPORATION 123,162 +28,570 $28,732
     EW123,162+28,570$28,732
EAGLE MATERIALS INC. 307,995 -4,759 $27,923
     EXP307,995-4,759$27,923
AMERCO 73,561 +17,535 $27,646
     UHAL73,561+17,535$27,646
HUNTINGTON INGALLS INDUSTRIES INC. 110,021 +20,001 $27,602
     HII110,021+20,001$27,602
MOTOROLA SOLUTIONS INC 168,897 -4,040 $27,216
     MSI168,897-4,040$27,216
DARDEN RESTAURANTS INC. 248,906 -49,292 $27,133
     DRI248,906-49,292$27,133
SPIRIT AIRLINES 640,991 -103,579 $25,838
     SAVE640,991-103,579$25,838
PURE STORAGE INC 1,506,991 +1,506,991 $25,785
     PSTG1,506,991+1,506,991$25,785
THE TIMKEN COMPANY 452,143 -107,072 $25,460
     TKR452,143-107,072$25,460
RYANAIR HOLDINGS PLC 281,056 -7,122 $24,623
     RYAAY281,056-7,122$24,623
COPART INC 269,478 -114,376 $24,506
     CPRT269,478-114,376$24,506
WHITE MOUNTNS INSU 21,688 -628 $24,193
     WTM21,688-628$24,193
SERVICENOW INC 84,256 -11,161 $23,787
     NOW84,256-11,161$23,787
BEST BUY INC 264,335 -4,256 $23,209
     BBY264,335-4,256$23,209
EBAY INC. 629,330 -122,038 $22,725
     EBAY629,330-122,038$22,725
MARVELL TECH GROUP 841,866 +841,866 $22,360
     MRVL841,866+841,866$22,360
ROBERT HALF INTL 349,712 +145,450 $22,084
     RHI349,712+145,450$22,084
DXC TECHNOLOGY COMPANY 580,947 +580,947 $21,838
     DXC580,947+580,947$21,838
VAIL RESORTS INC. 89,242 -1,315 $21,403
     MTN89,242-1,315$21,403
W.R. BERKLEY CORPORATION 308,801 -219,911 $21,338
     WRB308,801-219,911$21,338
ARISTA NETWORKS INC 104,581 -44,484 $21,272
     ANET104,581-44,484$21,272
AVALONBAY COMMUNITIES INC. 100,377 -105,835 $21,049
     AVB100,377-105,835$21,049
BWX TECHNOLOGIES INC 336,251 -274,164 $20,874
     BWXT336,251-274,164$20,874
XILINX INC. 213,490 -25,004 $20,873
     XLNX213,490-25,004$20,873
CENTENE CORPORATION 326,655 -98,331 $20,537
     CNC326,655-98,331$20,537
HEXCEL CORPORATION 278,481 -111,530 $20,415
     HXL278,481-111,530$20,415
HEALTHCARE REALTY TRUST INCORPORATED 607,823 -165,281 $20,283
     HR607,823-165,281$20,283
ALASKA AIR GROUP INC. 297,377 -7,933 $20,147
     ALK297,377-7,933$20,147
PRUDENTIAL PLC 524,053 -13,331 $19,961
     PUK524,053-13,331$19,961
PATTERSON UTI ENEG 1,894,855 -1,144,693 $19,896
     PTEN1,894,855-1,144,693$19,896
FIRST HORIZON NATIONAL CORPORATION 1,191,869 -74,353 $19,737
     FHN1,191,869-74,353$19,737
CHIPOTLE MEXICAN G 23,146 -6,197 $19,376
     CMG23,146-6,197$19,376
LULULEMON ATHLETIC 83,440 -66,612 $19,331
     LULU83,440-66,612$19,331
BURLINGTON STORES INC. 83,841 -33,432 $19,118
     BURL83,841-33,432$19,118
CF INDUSTRIES HOLDINGS INC. 394,949 -20,352 $18,855
     CF394,949-20,352$18,855
BANCOLOMBIA S.A. 342,258 -8,643 $18,752
     CIB342,258-8,643$18,752
KEYSIGHT TECHNOLOGIES INC. 181,224 -25,695 $18,599
     KEYS181,224-25,695$18,599
AEROJET ROCKETDYNE HLDGS INC 404,036 -5,325 $18,448
     AJRD404,036-5,325$18,448
PULTE GROUP INC 473,446 -24,330 $18,370
     PHM473,446-24,330$18,370
BHP GROUP LTD 333,992 -8,294 $18,273
     BHP333,992-8,294$18,273
ALLIANZ SOCIETAS EUROPAEA SE      $18,212
     ADR752,248-18,938$18,212
AFLAC INCORPORATED 341,000 -8,700 $18,039
     AFL341,000-8,700$18,039
CREDICORP 82,575 -2,091 $17,599
     BAP82,575-2,091$17,599
NOVO NORDISK A S 302,670 -7,525 $17,519
     NVO302,670-7,525$17,519
METTLER TOLEDO INTERNATIONAL INC 21,928 -559 $17,395
     MTD21,928-559$17,395
MASCO CORPORATION 350,992 -27,433 $16,844
     MAS350,992-27,433$16,844
ROYAL DUTCH SHELL PLC      $16,785
     RDS.B279,886-6,794$16,785
WORKDAY INC 100,254 +50,732 $16,487
     WDAY100,254+50,732$16,487
THOR INDUSTRIES 219,353 -4,790 $16,296
     THO219,353-4,790$16,296
TEXTRON INC. 363,264 -4,300 $16,202
     TXT363,264-4,300$16,202
AGCO CORPORATION 206,352 -72,967 $15,941
     AGCO206,352-72,967$15,941
IONIS PHARMACEUTICALS INC. 258,813 +258,813 $15,635
     IONS258,813+258,813$15,635
MOLINA HEALTHCARE INC. 112,916 -17,366 $15,322
     MOH112,916-17,366$15,322
AGNICO EAGLE MINES LTD 246,994 +59,865 $15,217
     AEM246,994+59,865$15,217
DIAGEO PLC 89,503 -2,271 $15,074
     DEO89,503-2,271$15,074
OMNICELL INC 178,266 -3,100 $14,568
     OMCL178,266-3,100$14,568
CARLISLE COMPANIES INCORPORATED      $14,542
     CSL66,883+66,883$10,824
     ADR38,235UNCH$3,718
ON SEMICONDUCTOR CORP. 593,752 +593,752 $14,476
     ON593,752+593,752$14,476
HENKEL AG & CO. KGAA      $14,434
     ADR560,640-14,190$14,434
LAMB WESTON HOLDINGS INC 167,709 +167,709 $14,428
     LW167,709+167,709$14,428
WAL MART DE MEXICO      $14,234
     ADR497,849-12,738$14,234
PAYCHEX INC 165,594 -18,784 $14,085
     PAYX165,594-18,784$14,085
SAP SE 104,906 -2,621 $14,056
     SAP104,906-2,621$14,056
WESTLAKE CHEMICAL CORPORATION 197,185 -28,332 $13,833
     WLK197,185-28,332$13,833
JETBLUE AIRWAYS CORPORATION 728,373 -61,328 $13,635
     JBLU728,373-61,328$13,635
ENBRIDGE INC 341,350 -8,341 $13,575
     ENB341,350-8,341$13,575
SPRINT CORPORATION 2,598,885 -41,729 $13,540
     S2,598,885-41,729$13,540
KNIGHT SWIFT TRANSN HOLDINGS INC 374,588 -128,600 $13,425
     KNX374,588-128,600$13,425
NESTLE SA AG 123,934 -3,137 $13,417
     NSRGY123,934-3,137$13,417
LENDINGTREE INC 43,997 -90,129 $13,350
     TREE43,997-90,129$13,350
NEWMONT GOLDCORP CORPORATION 307,116 -65,656 $13,344
     NEM307,116-65,656$13,344
FLOOR AND DECOR HOLDING INCORPORATION 260,284 -297,644 $13,225
     FND260,284-297,644$13,225
TRACTOR SUPPLY CO 140,990 -74,966 $13,174
     TSCO140,990-74,966$13,174
NOVARTIS AG 138,069 -3,444 $13,074
     NVS138,069-3,444$13,074
OREILLY AUTOMOTIVE INC. 29,127 -2,718 $12,765
     ORLY29,127-2,718$12,765
LHC GROUP INC 90,733 -1,700 $12,499
     LHCG90,733-1,700$12,499
BRUKER CORPORATION 242,576 -19,824 $12,364
     BRKR242,576-19,824$12,364
PERFORMANCE FOOD GROUP COMPANY 230,488 -4,000 $11,866
     PFGC230,488-4,000$11,866
MONRO INC 149,762 -9,601 $11,711
     MNRO149,762-9,601$11,711
EVEREST RE GROUP 41,607 -100,857 $11,518
     RE41,607-100,857$11,518
SEMTECH CORPORATION 213,834 -9,086 $11,312
     SMTC213,834-9,086$11,312
INSPERITY INC 131,426 +15,961 $11,308
     NSP131,426+15,961$11,308
COHEN & STEERS INC 178,602 -3,400 $11,209
     CNS178,602-3,400$11,209
PEGASYSTEMS INC 140,484 -2,500 $11,190
     PEGA140,484-2,500$11,190
US PHYSICAL THERAP 95,963 -1,500 $10,973
     USPH95,963-1,500$10,973
J2 GLOBAL INC. 116,227 -4,837 $10,892
     JCOM116,227-4,837$10,892
PRA HEALTH SCIENCES INC 91,995 -1,800 $10,225
     PRAH91,995-1,800$10,225
THE HANOVER INSURANCE GROUP INC. 74,040 -64,180 $10,119
     THG74,040-64,180$10,119
ALLISON TRANSMISSION HOLDINGS INC 207,124 -27,141 $10,008
     ALSN207,124-27,141$10,008
MOODYS CORP 41,857 -7,265 $9,937
     MCO41,857-7,265$9,937
MATCH GROUP INC. 119,458 -50,933 $9,809
     MTCH119,458-50,933$9,809
AMN HEALTHCARE SVS 154,584 -3,000 $9,632
     AMN154,584-3,000$9,632
UNIVERSAL DISPLAY 46,176 -6,794 $9,515
     OLED46,176-6,794$9,515
SANDERSON FARM INC 53,698 +53,698 $9,463
     SAFM53,698+53,698$9,463
PROTO LABS INC 93,107 -1,400 $9,455
     PRLB93,107-1,400$9,455
ICU MEDICAL INC 49,559 -800 $9,273
     ICUI49,559-800$9,273
UMPQUA HOLDINGS CO 522,620 -9,018 $9,250
     UMPQ522,620-9,018$9,250
SVB FINANCIAL GROUP 36,840 +36,840 $9,248
     SIVB36,840+36,840$9,248
ALIGN TECHNOLOGY I 32,881 +32,881 $9,175
     ALGN32,881+32,881$9,175
TWITTER INC 285,504 -191,879 $9,150
     TWTR285,504-191,879$9,150
ENVESTNET INC 130,607 -2,400 $9,094
     ENV130,607-2,400$9,094
IAA Inc 191,179 -31,827 $8,997
     IAA191,179-31,827$8,997
FABRINET 137,854 -2,600 $8,938
     FN137,854-2,600$8,938
BIOTELEMETRY INC 190,754 -2,700 $8,832
     BEAT190,754-2,700$8,832
BALCHEM CORP 85,568 -1,500 $8,696
     BCPC85,568-1,500$8,696
HEALTHEQUITY INC 117,085 -2,200 $8,672
     HQY117,085-2,200$8,672
DARLING INGREDIENTS INC 305,378 +305,378 $8,575
     DAR305,378+305,378$8,575
GARMIN LTD 87,676 +87,676 $8,554
     GRMN87,676+87,676$8,554
POWER INTEGRATIONS 86,299 -1,700 $8,536
     POWI86,299-1,700$8,536
ENTEGRIS INC 170,282 -3,400 $8,529
     ENTG170,282-3,400$8,529
PROOFPOINT INC. 72,527 -99,970 $8,325
     PFPT72,527-99,970$8,325
INSTALLED BUILDING PRODUCTS INC 119,770 -2,300 $8,249
     IBP119,770-2,300$8,249
MEDPACE HOLDINGS INC. 96,399 -1,800 $8,103
     MEDP96,399-1,800$8,103
ALBANY INTERNATIONAL CORP. 106,139 -1,900 $8,058
     AIN106,139-1,900$8,058
II VI INCORPORATED 238,996 -4,200 $8,047
     IIVI238,996-4,200$8,047
CHART INDUSTRIES INC 117,578 -1,900 $7,935
     GTLS117,578-1,900$7,935
DESCARTES SYS GROUP INC 183,078 -3,600 $7,821
     DSGX183,078-3,600$7,821
CABOT OIL & GAS CO 442,111 -674,042 $7,697
     COG442,111-674,042$7,697
AGREE REALTY CORP 107,697 +107,697 $7,557
     ADC107,697+107,697$7,557
MARKETAXESS HLDGS 19,746 +19,746 $7,486
     MKTX19,746+19,746$7,486
PLEXUS CORP 95,413 -1,600 $7,341
     PLXS95,413-1,600$7,341
TAIWAN SEMICONDUCTOR MANUFACTURING CO. 126,275 UNCH $7,337
     TSM126,275UNCH$7,337
GRAINGER W W INC 21,268 -14,781 $7,200
     GWW21,268-14,781$7,200
QUIDEL CORPORATION 93,388 +100 $7,007
     QDEL93,388+100$7,007
LGI HOMES INC 96,221 -1,400 $6,798
     LGIH96,221-1,400$6,798
EPLUS INC 78,246 -1,400 $6,595
     PLUS78,246-1,400$6,595
INTEGER HOLDINGS CORPORATION 81,600 UNCH $6,563
     ITGR81,600UNCH$6,563
AMBARELLA INC 108,040 -2,000 $6,543
     AMBA108,040-2,000$6,543
FORWARD AIR CORPN 93,500 -500 $6,540
     FWRD93,500-500$6,540
VIRTUSA CORP 142,919 -2,200 $6,479
     VRTU142,919-2,200$6,479
KRATOS DEFENSE & SECURITY SOLUTIONS INC. 357,927 +29,522 $6,446
     KTOS357,927+29,522$6,446
INPHI CORP 86,519 -20,839 $6,404
     IPHI86,519-20,839$6,404
SYSTEMAX INC 253,565 +6,291 $6,380
     SYX253,565+6,291$6,380
QUALYS INC 74,135 -1,300 $6,181
     QLYS74,135-1,300$6,181
ASTRONICS CORP 218,314 +14,072 $6,102
     ATRO218,314+14,072$6,102
HMS HOLDINGS CORP 205,810 -2,400 $6,092
     HMSY205,810-2,400$6,092
CRACKER BARREL OLD 38,917 -500 $5,983
     CBRL38,917-500$5,983
STONERIDGE INC. 202,757 -3,900 $5,945
     SRI202,757-3,900$5,945
VERINT SYSTEMS INC 105,721 -1,400 $5,853
     VRNT105,721-1,400$5,853
AXOS FINANCIAL INC 191,950 -3,700 $5,812
     AX191,950-3,700$5,812
SUPERNUS PHARMACEUTICALS INC 243,455 -269,280 $5,775
     SUPN243,455-269,280$5,775
AAC TECHNOLOGIES H      $5,614
     ADR647,562UNCH$5,614
TPI COMPOSITES INC 302,937 -1,200 $5,607
     TPIC302,937-1,200$5,607
QTS REALTY TRUST INC 103,043 -1,600 $5,592
     QTS103,043-1,600$5,592
DYCOM INDUSTRIES INC. 116,005 -2,100 $5,470
     DY116,005-2,100$5,470
DAVE & BUSTER S ENTERTAINMENT INC 134,541 -2,600 $5,405
     PLAY134,541-2,600$5,405
EAGLE PHARMACEUTICALS INC 89,850 -1,500 $5,398
     EGRX89,850-1,500$5,398
APPLIED INDL TECHS 80,245 +80,245 $5,352
     AIT80,245+80,245$5,352
BLUCORA INC. 203,253 -3,300 $5,313
     BCOR203,253-3,300$5,313
MONOLITHIC PWR SYS 29,528 -29,422 $5,257
     MPWR29,528-29,422$5,257
VOLKSWAGEN AKTIENGESELLSCHAFT      $5,213
     ADR270,257UNCH$5,213
OLD DOMINION FGHT 27,272 -26,268 $5,176
     ODFL27,272-26,268$5,176
HILLTOP HOLDINGS INC 207,337 -4,000 $5,169
     HTH207,337-4,000$5,169
G III APPAREL GP 152,660 -2,500 $5,114
     GIII152,660-2,500$5,114
ACUITY BRANDS INC. 36,875 -8,571 $5,089
     AYI36,875-8,571$5,089
PRA GROUP INC 132,869 -2,300 $4,823
     PRAA132,869-2,300$4,823
LINDBLAD EXPEDITIONS HLDGS INC 293,033 -2,500 $4,791
     LIND293,033-2,500$4,791
CARETRUST REIT INC 220,676 -3,500 $4,553
     CTRE220,676-3,500$4,553
CNO FINANCIAL GROUP INC. 250,634 -4,000 $4,544
     CNO250,634-4,000$4,544
VAREX IMAGING CORPORATION 151,297 -2,400 $4,510
     VREX151,297-2,400$4,510
CHEESECAKE FACTORY 116,011 -1,800 $4,508
     CAKE116,011-1,800$4,508
ASTELLAS PHARMA INC.      $4,431
     ADR260,199UNCH$4,431
GPO FIN BANORTE      $4,413
     ADR158,295-331$4,413
SANDVIK A B 222,569 UNCH $4,326
     SDVKY222,569UNCH$4,326
TOKYO ELECTRON LTD      $4,306
     ADR78,830UNCH$4,306
ADECCO GROUP AG      $4,221
     ADR133,415UNCH$4,221
SINGAPORE TELECOMMUNICATIONS      $4,215
     ADR168,179-208$4,215
BNP PARIBAS      $4,200
     ADR141,463UNCH$4,200
HEALTHCARE SERVICE 169,018 -2,900 $4,111
     HCSG169,018-2,900$4,111
DNB ASA      $4,105
     ADR220,246UNCH$4,105
ORIX CORPORATION 48,772 UNCH $4,068
     IX48,772UNCH$4,068
ROCHE HOLDINGS AG 96,713 UNCH $3,932
     RHHBY96,713UNCH$3,932
KERING S.A.      $3,891
     ADR59,538UNCH$3,891
AXA      $3,872
     ADR137,557UNCH$3,872
UNITED OVERSEAS BANK LIMITED      $3,825
     ADR97,283UNCH$3,825
BRIT AMER TOBACCO 90,028 UNCH $3,823
     BTI90,028UNCH$3,823
KOMATSU LTD      $3,810
     ADR158,483UNCH$3,810
BANCO BILBAO VIZCAYA ARGENTARIA S.A. 678,993 UNCH $3,789
     BBVA678,993UNCH$3,789
ESSITY AKTIEBOLAG PUBL      $3,781
     ADR117,219UNCH$3,781
IMPERIAL OIL LTD 142,434 -323 $3,770
     IMO142,434-323$3,770
JGC HOLDINGS CORPORATION      $3,737
     ADR117,325+117,325$3,737
FRESENIUS SE & CO. KGAA      $3,621
     ADR259,350UNCH$3,621
TOTAL S.A. 64,869 UNCH $3,587
     TOT64,869UNCH$3,587
WPP PLC 50,119 UNCH $3,523
     WPP50,119UNCH$3,523
NITTO ELECTRIC INDUSTRIAL CO      $3,510
     ADR124,704-253$3,510
MUNICH REINSURANCE      $3,478
     ADR118,158UNCH$3,478
IMPINJ INC 133,153 -2,200 $3,443
     PI133,153-2,200$3,443
LIVE NATION ENTERTAINMENT INC. 47,413 -11,630 $3,389
     LYV47,413-11,630$3,389
CANTEL MEDCORP 46,766 +46,766 $3,316
     CMD46,766+46,766$3,316
RECKITT BENCK GRP      $3,255
     ADR196,550UNCH$3,255
COMPASS GROUP PLC      $3,244
     ADR128,468UNCH$3,244
SIEMENS AG      $3,205
     ADR49,325UNCH$3,205
CONTINENTAL AG      $3,204
     ADR249,812UNCH$3,204
IROBOT CORP 62,451 -900 $3,162
     IRBT62,451-900$3,162
GIVAUDAN SA      $3,122
     ADR49,893UNCH$3,122
KUBOTA CORP      $3,101
     ADR39,247UNCH$3,101
COCA COLA HBC AG      $3,050
     ADR88,917UNCH$3,050
AIR LIQUIDE S.A. L 104,710 +9,519 $2,937
     AIQUY104,710+9,519$2,937
PETMED EXPRESS INC 120,536 -2,100 $2,835
     PETS120,536-2,100$2,835
RADIANT LOGISTICS 503,961 -7,600 $2,807
     RLGT503,961-7,600$2,807
CARPENTER TECHNOLOGY CORPORATION 56,273 -800 $2,801
     CRS56,273-800$2,801
CORE LABORATORIES 73,705 -1,100 $2,776
     CLB73,705-1,100$2,776
WOODSIDE PETROLEUM LTD. 115,083 UNCH $2,766
     WOPEY115,083UNCH$2,766
L OREAL S.A.      $2,747
     ADR46,662UNCH$2,747
SYSMEX CORP      $2,631
     ADR77,371UNCH$2,631
ABB LIMITED 105,256 UNCH $2,536
     ABB105,256UNCH$2,536
BASF SE      $2,398
     ADR128,129UNCH$2,398
KIRBY CORP 25,975 -48,473 $2,326
     KEX25,975-48,473$2,326
DASSAULT SYSTEMES 13,990 UNCH $2,301
     DASTY13,990UNCH$2,301
GREEN DOT CORP 97,503 -1,700 $2,272
     GDOT97,503-1,700$2,272
FANUC CORPORATION      $1,895
     ADR102,900UNCH$1,895
MTN GROUP LTD      $1,475
     ADR249,385-509$1,475
PERSIMMON      $455
     ADR6,269UNCH$455
ATOS SE      $290
     ADR17,320UNCH$290
CANADIAN NAT RES LTD 8,916 UNCH $288
     CNQ8,916UNCH$288
UNICHARM CORP 26,242 +0 $179
     ADR26,242UNCH$179
ABIOMED INC $0 (exited)
     ABMD0-165,487$0
APERGY CORP $0 (exited)
     APY0-171,103$0
AMERICAN WATER WOR $0 (exited)
     AWK0-409,950$0
ASPEN TECHNOLOGY INC. $0 (exited)
     AZPN0-58,105$0
CARBONITE INC $0 (exited)
     CARB0-336,522$0
D.R. HORTON INC. $0 (exited)
     DHI0-422,678$0
GILDAN ACTIVEWEAR INC $0 (exited)
     GIL0-5,815$0
IDEXX LABORATORIES $0 (exited)
     IDXX0-56,759$0
JGC CORP $0 (exited)
     ADR0-117,325$0
JACK HENRY & ASSOC $0 (exited)
     JKHY0-80,520$0
PARSLEY ENERGY INC $0 (exited)
     PE0-426,182$0
PLANET FITNESS INCORPORATION $0 (exited)
     PLNT0-411,205$0
PIONEER NATURAL RESOURCES COMPANY $0 (exited)
     PXD0-126,810$0
RALPH LAUREN CORPORATION $0 (exited)
     RL0-68,296$0
ROSS STORES INC $0 (exited)
     ROST0-318,624$0
REALPAGE INC $0 (exited)
     RP0-342,123$0
VALERO ENERGY CORPORATION $0 (exited)
     VLO0-254,186$0
XCEL ENERGY INC 0 -199,398 $0 (exited)
     XEL0-199,398$0

See Summary: Scout Investments Inc. Top Holdings
See Details: Top 10 Stocks Held By Scout Investments Inc.

EntityShares/Amount
Change
Position Value
Change
INFO +890,502+$67,099
BHGE +1,976,625+$50,661
ROKU +363,985+$48,738
KLAC +215,835+$38,455
ZS +722,943+$33,617
LRCX +104,647+$30,599
EEFT +193,832+$30,540
CSGP +48,468+$28,998
PSTG +1,506,991+$25,785
MRVL +841,866+$22,360
EntityShares/Amount
Change
Position Value
Change
AWK -409,950-$50,928
ROST -318,624-$35,001
ABMD -165,487-$29,438
PLNT -411,205-$23,796
DHI -422,678-$22,279
VLO -254,186-$21,667
RP -342,123-$21,506
PXD -126,810-$15,949
IDXX -56,759-$15,434
XEL -199,398-$12,939
EntityShares/Amount
Change
Position Value
Change
ZNGA +1,736,119+$12,721
ALLY +1,103,082+$31,336
LNC +731,540+$42,239
HIG +589,631+$35,868
RCL +498,352+$72,152
HUN +471,114+$12,388
CFG +392,171+$20,452
NCLH +327,792+$24,266
EXPE +321,984+$33,191
BMRN +285,203+$26,102
EntityShares/Amount
Change
Position Value
Change
AGNC -1,689,684-$18,934
PTEN -1,144,693-$6,092
BRO -985,315-$32,298
WEC -792,523-$77,604
COLD -777,297-$31,024
COG -674,042-$11,914
AMD -575,946-$2,122
KL -555,002-$25,409
DOCU -542,703-$26,891
Size ($ in 1000's)
At 12/31/2019: $5,166,587
At 09/30/2019: $5,028,559

Scout Investments Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Scout Investments Inc. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Scout Investments Inc. | www.HoldingsChannel.com

Copyright © 2013 - 2020, All Rights Reserved Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and videos powered by Market News Video. Quote data delayed at least 20 minutes; data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.