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CONGRESS ASSET MANAGEMENT CO

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
NORFOLK SOUTHERN CORP NSCCommon901-53,518204,197,000192,788,0000.000.00 Hist 06/30/2023
Installed Building Products, Inc. IBPCOM1,435-8,146201,130,000200,354,0000.000.01 Hist 06/30/2023
Crane NXT, Co. CRStock3,758-9,176212,103,000210,971,0000.000.01 Hist 06/30/2023
Sensata Technologies Holding plc STCOMMON STOCK5,006-22,472225,220,000224,196,0000.00  Hist 06/30/2023
GENERAC HOLDINGS INC. GNRCCOM2,131-518,912317,796,000224,977,0000.000.00 Hist 06/30/2023
INTEL CORP INTCCommon6,825-1,288228,228,000228,019,0000.00  Hist 06/30/2023
J M SMUCKER Co SJMCommon1,566-2,850231,251,000230,644,0000.000.00 Hist 06/30/2023
SPDR S&P MIDCAP 400 ETF TRUST MDYCommon489-11234,187,000233,986,0000.00  Hist 06/30/2023
PayPal Holdings, Inc. PYPLCOM3,624-76,947241,796,000234,861,0000.00  Hist 06/30/2023
iSHARES TRUST IJKCommon3,221-3,332241,575,000241,162,0000.00  Hist 06/30/2023
COCA COLA CO KOCommon4,050-2,000243,918,000243,579,0000.00  Hist 06/30/2023
BOSTON SCIENTIFIC CORP BSXCommon4,820-49,135260,714,000260,228,0000.000.00 Hist 06/30/2023
Walmart Inc. WMTCommon1,851-2,025290,940,000290,437,0000.000.00 Hist 06/30/2023
iSHARES TRUST IVVCommon659-442293,723,000293,328,0000.00  Hist 06/30/2023
COGNEX CORP CGNXCommon7,043-302394,549,000394,245,0000.00  Hist 06/30/2023
CANADIAN NATIONAL RAILWAY CO CNICommon3,314-1,557401,242,000400,716,0000.00  Hist 06/30/2023
Simpson Manufacturing Co., Inc. SSDCommon3,001-160,935415,639,000402,786,0000.000.01 Hist 06/30/2023
VAIL RESORTS INC MTNCommon1,640-2,887412,886,000411,910,0000.000.00 Hist 06/30/2023
SOUTHERN CO SOCommon6,015-6,125422,554,000421,728,0000.00  Hist 06/30/2023
NEUROCRINE BIOSCIENCES INC NBIXCommon5,772-1,088,405544,300,000428,088,0000.000.01 Hist 06/30/2023
Meta Platforms, Inc. FBCommon1,494-289428,748,000428,506,0000.00  Hist 06/30/2023
ETSY INC ETSYCommon5,216-1,768441,326,000440,627,0000.00  Hist 06/30/2023
Vanguard Growth ETF VUGcommon1,632-228461,791,000461,393,0000.00  Hist 06/30/2023
VERTEX PHARMACEUTICALS INC / MA VRTXCommon1,519-82534,551,000534,087,0000.00  Hist 06/30/2023
VERIZON COMMUNICATIONS INC VZCommon17,256-200,195641,749,000633,492,0000.01  Hist 06/30/2023
SIMON PROPERTY GROUP INC /DE/ SPGCommon6,080-66,601702,118,000695,595,0000.010.00 Hist 06/30/2023
PROGRESSIVE CORP/OH/ PGRCommon5,802-486767,945,000767,214,0000.010.00 Hist 06/30/2023
BERKSHIRE HATHAWAY INC BRK/BCommon2,345-47799,645,000799,006,0000.010.00 Hist 06/30/2023
Lamb Weston Holdings, Inc. LWCOM7,240-71832,238,000831,672,0000.010.00 Hist 06/30/2023
Byrna Technologies Inc. BYRNCOMMON STOCK167,252-8,834837,933,000837,105,0000.010.76 Hist 06/30/2023
UNION PACIFIC CORP UNPCommon4,366-48,392893,399,000883,121,0000.010.00 Hist 06/30/2023
Salesforce, Inc. CRMCommon4,916-45,9271,038,554,0001,031,241,0000.01  Hist 06/30/2023
AUTOMATIC DATA PROCESSING INC ADPCommon4,700-1,5601,033,013,0001,031,597,0000.010.00 Hist 06/30/2023
Horizon Therapeutics Public Ltd Co HZNPCommon Stock11,645-1,553,1011,197,688,0001,100,846,0000.01  Hist 06/30/2023
DOLLAR GENERAL CORP DGCOM7,414-56,0281,258,774,0001,243,557,0000.010.00 Hist 06/30/2023
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