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ATLANTA CAPITAL MANAGEMENT CO L L C

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
CARLISLE COMPANIES INC CSLCommon1,726,777-708,776484,206,000-96,941,0002.163.34 Hist 09/30/2022
Aramark ARMKCOM13,504,108-2,065,476421,328,000-55,568,0001.885.24 Hist 09/30/2022
BLACKBAUD INC BLKBCommon3,554,869-37,520156,628,000-51,982,0000.706.70 Hist 09/30/2022
SERVICE CORP INTERNATIONAL SCICommon2,185,076-369,797126,166,000-50,427,0000.561.41 Hist 09/30/2022
WEX Inc. WEXCommon1,644,877-1,501208,801,000-47,310,0000.933.72 Hist 09/30/2022
SEI INVESTMENTS CO SEICCommon5,947,533-7,447291,726,000-29,962,0001.304.39 Hist 09/30/2022
BIO-TECHNE Corp TECHCOM472,491-235134,187,000-29,679,0000.601.20 Hist 09/30/2022
CACI INTERNATIONAL INC /DE/ CAICommon1,225,498-1,554319,929,000-25,830,0001.42  Hist 09/30/2022
Dolby Laboratories, Inc. DLBCl A3,737,617-1,356243,506,000-24,055,0001.08  Hist 09/30/2022
APTARGROUP, INC. ATRCommon2,884,168-3,067274,082,000-23,910,0001.224.41 Hist 09/30/2022
HEXCEL CORP /DE/ HXLCommon3,522,352-320,465182,176,000-18,842,0000.814.19 Hist 09/30/2022
Dorman Products, Inc. DORMCOMMON591,798-22,14548,598,000-18,758,0000.221.88 Hist 09/30/2022
STERIS Ltd STECommon367,902-13,51361,175,000-17,454,0000.27  Hist 09/30/2022
TERMINIX GLOBAL HOLDINGS INC TMXCommon Stock6,835,536-15,009261,733,000-16,742,0001.175.62 Hist 09/30/2022
HUNT J B TRANSPORT SERVICES INC JBHTCommon1,533,858-82,179239,926,000-14,551,0001.071.48 Hist 09/30/2022
iSHARES TRUST IWBCommon51,815-64,27610,225,000-13,894,0000.05  Hist 09/30/2022
LKQ CORP LKQCommon5,940,242-11,826280,082,000-12,105,0001.252.16 Hist 09/30/2022
WOLVERINE WORLD WIDE INC /DE/ WWWCommon2,023,250-111,52831,138,000-11,899,0000.142.57 Hist 09/30/2022
MESA LABORATORIES INC /CO/ MLABCOM165,321-5,86423,282,000-11,629,0000.103.11 Hist 09/30/2022
INTEGRA LIFESCIENCES HOLDINGS CORP IARTCommon901,115-19,23838,171,000-11,556,0000.171.08 Hist 09/30/2022
Artisan Partners Asset Management Inc. APAMCommon978,343-55,81526,347,000-10,438,0000.12  Hist 09/30/2022
MOOG INC. MOG.ACommon610,556-49,04542,953,000-9,413,0000.19  Hist 09/30/2022
Simpson Manufacturing Co., Inc. SSDCommon338,481-16,85126,537,000-9,213,0000.120.78 Hist 09/30/2022
EPLUS INC PLUSCommon606,354-37,49625,188,000-9,013,0000.112.25 Hist 09/30/2022
SELECTIVE INSURANCE GROUP INC SIGICommon788,993-52,92464,224,000-8,972,0000.291.31 Hist 09/30/2022
Kinsale Capital Group, Inc. KNSLSTOCK321,835-73,92382,203,000-8,679,0000.371.41 Hist 09/30/2022
RLI CORP RLICommon342,037-15,45335,018,000-6,662,0000.160.75 Hist 09/30/2022
ICU MEDICAL INC/DE ICUICommon354,481-8,12353,385,000-6,223,0000.241.48 Hist 09/30/2022
ACI WORLDWIDE, INC. ACIWCommon1,151,845-17,11524,074,000-6,190,0000.111.01 Hist 09/30/2022
OPENLANE, Inc. KARCOM1,431,189-63,94415,986,000-6,097,0000.071.24 Hist 09/30/2022
J&J SNACK FOODS CORP JJSFCommon333,353-18,80843,159,000-6,024,0000.191.74 Hist 09/30/2022
CHOICE HOTELS INTERNATIONAL INC /DE CHHCommon2,713,572-2,327297,190,000-5,986,0001.324.87 Hist 09/30/2022
IAA, Inc. IAACOM5,788,515-15,742184,364,000-5,842,0000.824.33 Hist 09/30/2022
POWER INTEGRATIONS INC POWICommon462,242-8,82229,731,000-5,604,0000.130.81 Hist 09/30/2022
CENTRAL GARDEN & PET CO CENTCommon616,848-26,94122,231,000-5,079,0000.101.13 Hist 09/30/2022
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