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CONGRESS ASSET MANAGEMENT CO

· CIK 0000897378
13F Portfolio $14.0B AUM 417 positions Filed Apr 14, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
60 New 178 Added 143 Reduced 24 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 NVDA NVIDIA Corp. Technology 2,510,028 $437.7M 3.14% -27K -1.1%
2 AAPL Apple Inc. Technology 1,631,485 $414.1M 2.97% -12K -0.7%
3 GOOGL Alphabet Inc. Communication Services 1,054,554 $303.2M 2.17% -12K -1.1%
4 MSFT Microsoft Corp. Technology 638,107 $236.2M 1.69% -5K -0.8%
5 AVGO Broadcom Inc Technology 757,731 $234.5M 1.68% +26K +3.6%
6 COST Costco Wholesale Corporation Consumer Defensive 216,024 $215.3M 1.54% -1K -0.7%
7 ANET Arista Networks Inc Technology 1,732,854 $212.8M 1.52% -25K -1.4%
8 STRL Sterling Infrastructure Inc Industrials 497,098 $202.5M 1.45% +28K +6.0%
9 TJX The TJX Companies Inc. Consumer Cyclical 1,203,988 $192.3M 1.38% -19K -1.6%
10 AMZN Amazon.com, Inc. Consumer Cyclical 903,120 $188.1M 1.35%
11 HWM Howmet Aerospace Inc Industrials 796,404 $183.5M 1.31% -10K -1.2%
12 ETN Eaton Corporation PLC Industrials 503,728 $180.2M 1.29% -4K -0.9%
13 META Meta Platforms Inc Communication Services 303,914 $173.9M 1.25% -2K -0.5%
14 GEV GE Vernova Inc. Utilities 198,825 $173.6M 1.24% +7K +3.7%
15 V Visa Inc Financial Services 562,093 $169.9M 1.22% -6K -1.0%
16 GS Goldman Sachs Group, Inc. Financial Services 189,415 $160.2M 1.15% -67K -26.1%
17 CW Curtiss-Wright Corp. Industrials 227,835 $155.2M 1.11% -42K -15.6%
18 WELL Welltower Inc. Real Estate 750,200 $148.3M 1.06%
19 TKO TKO Group Holdings Inc. Communication Services 727,806 $146.8M 1.05% +181K +33.1%
20 ISRG Intuitive Surgical Inc. Healthcare 312,410 $144.0M 1.03% -2K -0.7%
21 PH Parker-Hannifin Corp. Industrials 159,176 $142.5M 1.02% -27K -14.6%
22 MOD Modine Manufacturing Co. Consumer Cyclical 650,673 $141.0M 1.01% +82K +14.4%
23 ORLY O'Reilly Automotive Inc. Consumer Cyclical 1,524,657 $140.7M 1.01% -12K -0.8%
24 MLM Martin Marietta Materials Inc Basic Materials 237,971 $140.1M 1.00% -2K -0.7%
25 NVT NVent Electric PLC Industrials 1,121,791 $132.7M 0.95% -35K -3.0%
26 WMB Williams Companies Inc. (The) Energy 1,819,871 $132.5M 0.95% -25K -1.4%
27 ECL Ecolab Inc. Basic Materials 474,438 $126.2M 0.91% -8K -1.6%
28 APH Amphenol Corporation Technology 967,292 $122.2M 0.88%
29 MOG.B Moog Inc. Industrials 402,562 $117.8M 0.84% +36K +9.9%
30 PRIM Primoris Services Corp. Industrials 818,096 $117.0M 0.84%
31 IDCC InterDigital, Inc. Technology 386,013 $116.6M 0.83% +35K +9.9%
32 RMBS Rambus Inc. Technology 1,275,978 $109.8M 0.79% -135K -9.5%
33 ASML ASML Holding N.V. Technology 82,626 $109.1M 0.78% +70K +538.5%
34 NOVT Novanta Inc Technology 909,710 $107.4M 0.77% +298K +48.6%
35 HLT Hilton Worldwide Holdings Inc Consumer Cyclical 352,636 $107.2M 0.77% NEW
36 BOOT Boot Barn Holdings Inc Consumer Cyclical 717,574 $105.0M 0.75% +95K +15.3%
37 PEN Penumbra Inc. Healthcare 317,337 $104.2M 0.75% -65K -17.0%
38 NVMI Nova Ltd Technology 239,708 $104.1M 0.75% -52K -17.7%
39 BSX Boston Scientific Corporation Healthcare 1,629,485 $102.3M 0.73% -20K -1.2%
40 UFPT UFP Technologies Inc. Healthcare 523,438 $101.3M 0.73% +82K +18.7%
41 LGND Ligand Pharmaceuticals Incorporated Healthcare 504,637 $100.8M 0.72% +25K +5.1%
42 UBER Uber Technologies Inc Technology 1,396,539 $100.5M 0.72% -40K -2.8%
43 NPO Enpro Inc Industrials 398,431 $99.9M 0.72% +22K +5.9%
44 TMO Thermo Fisher Scientific Inc Healthcare 200,288 $98.4M 0.71% -9K -4.2%
45 LLY Eli Lilly & Co. Healthcare 104,102 $95.8M 0.69% +90K +653.4%
46 ALNY Alnylam Pharmaceuticals Inc. Healthcare 285,739 $94.5M 0.68% +16K +6.1%
47 RGEN Repligen Corporation Healthcare 797,867 $94.0M 0.67% +52K +6.9%
48 SHOP Shopify Inc Technology 791,990 $93.9M 0.67% -10K -1.3%
49 IDXX IDEXX Laboratories Inc. Healthcare 166,686 $93.7M 0.67% +13K +8.3%
50 PWR Quanta Services, Inc. Industrials 170,192 $93.4M 0.67% -7K -4.2%
51 DUT Moodys Corp. 213,331 $93.1M 0.67% -4K -2.0%
52 MPWR Monolithic Power Systems Inc. Technology 83,343 $91.1M 0.65% -7K -8.1%
53 LMAT Lemaitre Vascular Inc. Healthcare 834,529 $91.1M 0.65% +102K +14.0%
54 EAT Brinker International, Inc. Consumer Cyclical 615,732 $87.9M 0.63% +55K +9.8%
55 CASY Casey'S General Stores Inc. Consumer Cyclical 118,690 $86.4M 0.62% -11K -8.5%
56 ABCB Ameris Bancorp Financial Services 1,095,966 $85.5M 0.61% +99K +9.9%
57 NOW Servicenow Inc Technology 815,871 $85.3M 0.61% -32K -3.7%
58 PJT PJT Partners Inc. Financial Services 604,352 $84.4M 0.60% +20K +3.5%
59 KEX Kirby Corp Industrials 625,542 $83.1M 0.60% +96K +18.1%
60 HALO Halozyme Therapeutics Inc Healthcare 1,280,592 $82.8M 0.59% -22K -1.7%
61 EME Emcor Group Inc Industrials 110,208 $81.4M 0.58% -48K -30.4%
62 LIVN LivaNova PLC Healthcare 1,274,820 $81.0M 0.58% NEW
63 CALX Calix Inc. Technology 1,644,289 $80.6M 0.58% +197K +13.6%
64 TPR Tapestry Inc Consumer Cyclical 568,566 $80.2M 0.57% -42K -6.8%
65 AUB Atlantic Union Bankshares Corp Financial Services 2,241,874 $80.1M 0.57% +277K +14.1%
66 OLLI Ollies Bargain Outlet Holdings Inc. Consumer Defensive 868,190 $79.9M 0.57% -11K -1.3%
67 UTI Universal Technical Institute, Inc. Consumer Defensive 2,152,978 $77.7M 0.56% +459K +27.1%
68 SKY Champion Homes Inc. Consumer Cyclical 1,040,888 $77.4M 0.56% +91K +9.6%
69 FIX Comfort Systems USA Inc. Industrials 55,192 $76.1M 0.55% -27K -33.0%
70 BCPC Balchem Corp Basic Materials 445,813 $75.6M 0.54% +67K +17.7%
71 ACIW ACI Worldwide Inc Technology 1,833,808 $75.2M 0.54% +443K +31.8%
72 MDB MongoDB Inc. Technology 301,897 $73.9M 0.53% +201K +199.8%
73 SXT Sensient Technologies Corp Basic Materials 848,960 $73.4M 0.53% +114K +15.6%
74 TGTX TG Therapeutics Inc Healthcare 2,168,081 $72.0M 0.52% +246K +12.8%
75 CARG Cargurus Inc Consumer Cyclical 2,110,537 $71.9M 0.52% +152K +7.8%
76 AVAV AeroVironment, Inc. Industrials 392,508 $71.8M 0.52% +82K +26.5%
77 JBTM JBT Marel Corp. Industrials 557,378 $71.3M 0.51% +64K +13.0%
78 MMSI Merit Medical Systems Inc. Healthcare 1,029,249 $70.9M 0.51% +172K +20.0%
79 PLTR Palantir Technologies Inc Technology 484,714 $70.9M 0.51% +123K +33.8%
80 FSS Federal Signal Corp. Industrials 642,360 $69.5M 0.50% +91K +16.5%
81 RJF Raymond James Financial Inc. Financial Services 471,389 $68.3M 0.49% -43K -8.3%
82 CR Crane Co. Industrials 392,121 $67.1M 0.48% -32K -7.5%
83 AEIS Advanced Energy Industries, Inc. Industrials 207,371 $66.9M 0.48% -20K -8.6%
84 DT Dynatrace Inc Technology 1,808,854 $66.9M 0.48% -807K -30.9%
85 CSW CSW Industrials Inc. Industrials 252,348 $65.8M 0.47% +31K +13.9%
86 IBKR Interactive Brokers Group Inc Financial Services 971,529 $65.2M 0.47% +868K +837.8%
87 VKTX Viking Holdings Ltd. Healthcare 847,321 $62.3M 0.45% -73K -7.9%
88 CVLT Commvault Systems Inc. Technology 768,646 $59.9M 0.43% +125K +19.4%
89 HEI.A Heico Corp Industrials 210,300 $57.7M 0.41% -13K -5.8%
90 IMAX IMAX Corporation Communication Services 1,510,375 $57.4M 0.41% NEW
91 KRMN Karman Holdings Inc. Industrials 707,196 $56.6M 0.41% +376K +113.7%
92 NET Cloudflare Inc Technology 273,756 $56.5M 0.41% -70K -20.4%
93 CXT Crane NXT Co Industrials 1,370,798 $55.6M 0.40% +154K +12.7%
94 YETI Yeti Holdings Inc Consumer Cyclical 1,401,440 $51.3M 0.37% +108K +8.4%
95 FAST Fastenal Co. Industrials 1,073,795 $49.8M 0.36% -103K -8.8%
96 VCEL Vericel Corporation Healthcare 1,506,918 $48.5M 0.35% -158K -9.5%
97 APG API Group Corp Industrials 1,181,511 $47.9M 0.34% -117K -9.0%
98 FROG JFrog Ltd Technology 1,012,858 $47.5M 0.34% NEW
99 ROST Ross Stores Inc Consumer Cyclical 218,966 $47.4M 0.34% -10K -4.5%
100 IWF iShares Trust RUS 1000 GRW ETF 110,334 $47.0M 0.34% +34K +43.9%
101 VBK Vanguard Index Funds SML CP GRW ETF 151,879 $45.9M 0.33% +40K +35.8%
102 EHC Encompass Health Corporation Healthcare 422,396 $40.9M 0.29% -126K -22.9%
103 TSCO Tractor Supply Co Consumer Cyclical 889,027 $40.3M 0.29% -238K -21.1%
104 IWP iShares Trust RUS MD CP GR ETF 311,168 $39.9M 0.29% -147K -32.1%
105 CAVA CAVA Group Inc. Consumer Cyclical 492,059 $39.8M 0.28% +82K +19.9%
106 Q Qnity Electronics Inc. Technology 340,705 $39.3M 0.28% NEW
107 TRNO Terreno Realty Corporation Real Estate 615,766 $37.8M 0.27% +49K +8.7%
108 BJ BJ Wholesale Club Holdings Inc Consumer Defensive 369,110 $36.3M 0.26% +25K +7.2%
109 VMI Valmont Industries, Inc. Industrials 89,884 $35.9M 0.26% +5K +5.3%
110 CRDO Credo Technology Group Holding Ltd Technology 357,806 $33.6M 0.24% -55K -13.4%
111 HLI Houlihan Lokey Inc. Financial Services 232,980 $33.5M 0.24% -34K -12.6%
112 STE Steris PLC Healthcare 150,427 $33.3M 0.24% +9K +6.1%
113 CRS Carpenter Technology Corporation Industrials 82,938 $32.7M 0.23% NEW
114 TER Teradyne Inc. Technology 108,447 $32.2M 0.23% +105K +2709.5%
115 CTAS Cintas Corporation Industrials 189,811 $32.1M 0.23% -13K -6.4%
116 TXRH Texas Roadhouse Inc Consumer Cyclical 192,593 $31.8M 0.23% -10K -5.0%
117 JPM JPMorgan Chase & Co. Financial Services 107,601 $31.7M 0.23% -966 -0.9%
118 DDOG Datadog Inc Technology 266,506 $31.5M 0.23% -63K -19.2%
119 CAT Caterpillar Inc Industrials 43,188 $30.6M 0.22% -10K -18.3%
120 GWRE Guidewire Software Inc Technology 202,874 $30.3M 0.22% -85K -29.6%
121 FICO Fair Isaac Corporation Technology 28,417 $30.3M 0.22% -4K -12.1%
122 RRC Range Resources Corp. Energy 653,175 $29.5M 0.21% +39K +6.4%
123 EXPE Expedia Group Inc Consumer Cyclical 125,929 $29.1M 0.21% NEW
124 TOST Toast Inc Technology 1,091,236 $28.9M 0.21% +315K +40.5%
125 MEDP Medpace Holdings Inc. Healthcare 60,187 $28.9M 0.21%
126 DHI D.R. Horton, Inc. Consumer Cyclical 205,891 $28.3M 0.20% +44K +27.4%
127 MYR Grp Inc 97,283 $27.5M 0.20% +22K +29.8%
128 RBRK Rubrik Inc. Technology 545,725 $26.7M 0.19% NEW
129 PBH Prestige Consumer Healthcare Inc Healthcare 450,200 $26.7M 0.19% +111K +32.8%
130 LECO Lincoln Electric Holdings Inc. Industrials 105,526 $26.3M 0.19% +5K +5.2%
131 ADI Analog Devices Inc. Technology 82,159 $26.1M 0.19% -2K -2.1%
132 HWKN Hawkins Inc Basic Materials 165,380 $25.4M 0.18% +13K +8.3%
133 CMLIX Congress Large Cap Growth Fund - Inst. Cl 555,357 $25.2M 0.18% -50K -8.2%
134 ENTG Entegris Inc Technology 214,479 $25.1M 0.18% +14K +7.2%
135 PTCT PTC Inc Healthcare 172,771 $24.6M 0.18% +9K +5.7%
136 HD Home Depot Inc. Consumer Cyclical 74,780 $24.6M 0.18% -17K -18.2%
137 AZTA Azenta Inc Healthcare 1,145,635 $24.2M 0.17% -140K -10.9%
138 DELL Dell Technologies Inc Technology 146,071 $24.0M 0.17% -942K -86.6%
139 NFLX Netflix, Inc. Communication Services 235,250 $22.6M 0.16% -1.1M -83.0%
140 PODD Insulet Corporation Healthcare 105,228 $22.1M 0.16% +5K +4.7%
141 GOOGL Alphabet Inc. Communication Services 73,391 $21.1M 0.15% -962 -1.3%
142 IESC IES Holdings Inc. Industrials 43,513 $20.7M 0.15% +9K +27.0%
143 MIR Mirion Technologies Inc Industrials 1,114,061 $20.7M 0.15% NEW
144 AMGN Amgen Inc. Healthcare 58,670 $20.6M 0.15% +1K +2.1%
145 FND Floor And Decor Holding Inc. Consumer Cyclical 396,292 $20.1M 0.14% +28K +7.5%
146 ZTS Zoetis Inc. Healthcare 167,308 $19.8M 0.14% +16K +10.4%
147 NEE NextEra Energy Inc Utilities 210,218 $19.5M 0.14% +10K +5.2%
148 CME CME Group Inc. Financial Services 65,281 $19.3M 0.14% -1K -2.0%
149 VIRT Virtu Financial Inc Financial Services 437,424 $19.2M 0.14% +107K +32.2%
150 SYK Stryker Corporation Healthcare 57,847 $19.0M 0.14% -365 -0.6%
151 TEL TE Connectivity PLC Technology 90,234 $18.9M 0.14% -2K -1.7%
152 CELH Celsius Holdings Inc. Consumer Defensive 529,076 $18.8M 0.14% NEW
153 CSCO Cisco Systems, Inc. Technology 239,838 $18.6M 0.13% -5K -2.0%
154 LIN Linde PLC Basic Materials 37,044 $18.4M 0.13%
155 SMMD iShares Trust RUSEL 2500 ETF 239,075 $18.3M 0.13%
156 ELF E L F Beauty Inc Consumer Defensive 299,734 $18.2M 0.13% -71K -19.2%
157 WMT Walmart Inc Consumer Defensive 143,605 $17.8M 0.13% +21K +17.1%
158 AVY Avery Dennison Corporation Industrials 102,847 $17.8M 0.13% +5K +5.3%
159 DOCN DigitalOcean Holdings Inc Technology 203,043 $17.4M 0.12% +67K +49.2%
160 AME Ametek, Inc. Industrials 80,847 $17.3M 0.12% +5K +6.4%
161 COO The Cooper Companies, Inc. Healthcare 242,095 $17.3M 0.12% +9K +4.0%
162 ALL The Allstate Corporation Financial Services 82,832 $17.2M 0.12% -1K -1.6%
163 UMBFO UMB Financial Corp. Financial Services 151,351 $17.1M 0.12% +34K +28.7%
164 PATK Patrick Industries Inc. Consumer Cyclical 152,956 $17.0M 0.12% +20K +15.1%
165 CVX Chevron Corp. Energy 82,004 $17.0M 0.12% +3K +3.8%
166 MA MasterCard Incorporated Financial Services 31,338 $15.7M 0.11% +558 +1.8%
167 BMI Badger Meter Inc Technology 102,095 $15.6M 0.11% +862 +0.8%
168 EXLS ExlService Holdings Inc. Technology 502,144 $15.3M 0.11% +7K +1.4%
169 TBBK Bancorp Inc Financial Services 283,677 $15.2M 0.11% +67K +31.2%
170 MAR Marriott International, Inc. Consumer Cyclical 46,498 $15.2M 0.11% +43K +1318.9%
171 MCD McDonald's Corp. Consumer Cyclical 48,839 $15.2M 0.11% -909 -1.8%
172 IBM International Business Machines Corp. Technology 62,350 $15.1M 0.11% +10K +18.3%
173 EOG EOG Resources Inc. Energy 104,500 $15.1M 0.11% +5K +5.0%
174 CDW CDW Corp Technology 124,382 $15.1M 0.11% +10K +8.6%
175 WTFC Wintrust Financial Corporation Financial Services 107,189 $14.9M 0.11% +16K +18.0%
176 CENX Century Aluminum Company Basic Materials 253,435 $14.9M 0.11% +47K +22.8%
177 HE Hawaiian Electric Industries, Inc. Utilities 989,335 $14.7M 0.10% +212K +27.3%
178 CCJ Cameco Corporation Energy 132,280 $14.4M 0.10% +48K +57.9%
179 KNSL Kinsale Capital Group Inc Financial Services 41,883 $14.3M 0.10% +3K +7.7%
180 SHW The Sherwin-Williams Company Basic Materials 44,088 $14.1M 0.10% +349 +0.8%
181 TILE Interface, Inc. Consumer Cyclical 546,709 $13.6M 0.10% -2.1M -79.2%
182 BKNG Booking Holdings Inc Consumer Cyclical 3,220 $13.6M 0.10% +129 +4.2%
183 VST Vistra Corp Utilities 89,850 $13.5M 0.10% +54K +151.8%
184 ACMR Acm Research Inc Technology 339,863 $13.4M 0.10% +50K +17.4%
185 GRMN Garmin Ltd Technology 56,528 $13.1M 0.09% -190K -77.1%
186 MORN Morningstar Inc Financial Services 77,405 $13.1M 0.09% +3K +3.8%
187 PSTG Everpure Inc. Technology 218,533 $12.9M 0.09% -709K -76.4%
188 BR Broadridge Financial Solutions Inc. Technology 78,387 $12.7M 0.09%
189 HLNE Hamilton Lane Inc Financial Services 126,810 $12.6M 0.09% +28K +28.9%
190 MSI Motorola Solutions Inc Technology 28,293 $12.3M 0.09% +9K +48.4%
191 CNX CNX Resources Corporation Energy 311,951 $12.0M 0.09% +60K +23.6%
192 HURN Huron Consulting Group Inc. Industrials 93,997 $12.0M 0.09% +21K +28.6%
193 ACN Accenture PLC Technology 59,553 $11.8M 0.09% +4K +6.3%
194 TDS Telephone and Data Systems Inc. Communication Services 278,324 $11.7M 0.08% +50K +22.0%
195 GPI Group 1 Automotive, Inc. Consumer Cyclical 34,748 $11.5M 0.08% +8K +30.1%
196 Price T Rowe Group Inc. 127,261 $11.5M 0.08% +2K +1.9%
197 BKU BankUnited Inc. Financial Services 248,714 $11.2M 0.08% +58K +30.3%
198 BROS Dutch Bros Inc Consumer Cyclical 217,115 $11.0M 0.08% +11K +5.3%
199 POOL Pool Corporation Industrials 53,196 $10.8M 0.08% +3K +6.4%
200 BOH Bank of Hawaii Corp. Financial Services 142,785 $10.6M 0.08% +27K +23.3%
201 RES RPC Inc Energy 1,452,153 $10.3M 0.07% +177K +13.9%
202 NSSC NAPCO Security Technologies Inc. Industrials 252,402 $9.9M 0.07% +71K +39.1%
203 LRCX Lam Research Corporation Technology 46,281 $9.9M 0.07% +42K +1117.0%
204 CDNS Cadence Design Systems, Inc. Technology 35,212 $9.8M 0.07% +2K +7.1%
205 SPSC SPS Commerce Inc Technology 174,758 $9.7M 0.07% +6K +3.5%
206 THG The Hanover Insurance Group, Inc. Financial Services 54,867 $9.5M 0.07% +12K +28.7%
207 HIW Highwoods Properties, Inc. Real Estate 439,982 $9.4M 0.07% +308K +233.6%
208 FNB F N B Corp (Pennsylvania) Financial Services 542,711 $9.1M 0.07% +76K +16.4%
209 GTY Getty Realty Corp Real Estate 278,290 $8.8M 0.06% +66K +31.2%
210 FLS Flowserve Corporation Industrials 119,957 $8.8M 0.06% NEW
211 DHT DHT Holdings Inc. Energy 481,918 $8.8M 0.06% +69K +16.6%
212 STAG STAG Industrial, Inc. Real Estate 242,396 $8.7M 0.06% +34K +16.2%
213 CALM Cal-Maine Foods Inc. Consumer Defensive 109,280 $8.6M 0.06% +24K +28.8%
214 WAFD WaFd Inc Financial Services 275,080 $8.6M 0.06% +56K +25.3%
215 POR Portland General Electric Company Utilities 161,438 $8.5M 0.06% +40K +32.8%
216 GPOR Gulfport Energy Operating Corp. Energy 39,407 $8.3M 0.06% +7K +22.9%
217 IYE Exxon Mobil Corp. 47,622 $8.1M 0.06% -707 -1.5%
218 WINA Winmark Corp. Consumer Cyclical 18,847 $8.1M 0.06% +4K +24.7%
219 MNST Monster Beverage Corp Consumer Defensive 111,114 $8.1M 0.06% +10K +9.6%
220 SNPS Synopsys Inc Technology 20,279 $8.0M 0.06% -241K -92.2%
221 PRAX Praxis Precision Medicines Inc Healthcare 24,839 $8.0M 0.06% -6K -20.5%
222 OKTA Okta Inc. Technology 101,237 $8.0M 0.06% +3K +3.2%
223 LCII LCI Industries Consumer Cyclical 64,641 $7.9M 0.06% +10K +17.3%
224 WLTH Wealthfront Corp. Technology 853,747 $7.9M 0.06% NEW
225 BKH Black Hills Corporation Utilities 111,746 $7.8M 0.06% +21K +23.2%
226 BWXT BWX Technologies Inc. Industrials 37,356 $7.6M 0.06% +4K +11.9%
227 POWL Powell Industries Inc. Industrials 14,009 $7.6M 0.05% +2K +15.7%
228 BLBD Blue Bird Corp. Consumer Cyclical 130,274 $7.4M 0.05% +18K +16.1%
229 CNO CNO Financial Group, Inc. Financial Services 176,642 $7.3M 0.05% +24K +15.8%
230 TCBIO Texas Capital Bancshares, Inc. Financial Services 76,238 $7.2M 0.05% +18K +30.4%
231 MHO M/I Homes Inc. Consumer Cyclical 58,649 $7.2M 0.05% +11K +24.0%
232 TNGX Tango Therapeutics Inc. Healthcare 341,361 $7.1M 0.05% +107K +45.5%
233 AOK iShares Trust CORE 30/70 CONSERVATIVE ALLOCATION ETF 178,434 $7.1M 0.05% +43K +31.4%
234 KNF Knife River Corp. Basic Materials 84,170 $6.9M 0.05% -617K -88.0%
235 RYN Rayonier Inc Real Estate 328,926 $6.8M 0.05% NEW
236 AMAL Amalgamated Financial Corp. Financial Services 173,585 $6.7M 0.05% +25K +16.5%
237 TALO Talos Energy Inc Energy 422,069 $6.7M 0.05% +60K +16.7%
238 SR Spire Inc Utilities 71,852 $6.5M 0.05% +10K +15.8%
239 APLE Apple Hospitality Reit Inc Real Estate 549,502 $6.3M 0.04% +77K +16.2%
240 RLAY Relay Therapeutics Inc Healthcare 618,938 $6.2M 0.04% +205K +49.4%
241 FSV FirstService Corp. Real Estate 43,743 $6.1M 0.04% NEW
242 ACHC Acadia Healthcare Company, Inc. Healthcare 236,097 $5.5M 0.04% +98K +71.3%
243 ACLX Arcellx Inc Healthcare 47,551 $5.5M 0.04% +22K +82.9%
244 ALKT Alkami Technology Inc. Technology 340,745 $5.3M 0.04% +49K +16.9%
245 CRSP CRISPR Therapeutics AG Healthcare 108,371 $5.2M 0.04% +45K +71.1%
246 CWST Casella Waste Systems, Inc. Industrials 64,938 $5.2M 0.04% NEW
247 MQ Marqeta Inc Technology 1,260,214 $5.1M 0.04% +175K +16.1%
248 AIR AAR Corp. Industrials 46,692 $5.1M 0.04% NEW
249 OZK Bank OZK Financial Services 108,602 $5.0M 0.04% +19K +20.9%
250 ASGN Asgn Incorporated Technology 125,326 $4.9M 0.04% +36K +41.0%
251 LGN Legence Corp. Industrials 85,794 $4.8M 0.04% NEW
252 FHI Federated Hermes Inc Financial Services 83,790 $4.8M 0.03% +11K +15.9%
253 ATEC Alphatec Holdings Inc. Healthcare 435,715 $4.7M 0.03% +62K +16.6%
254 MTDR Matador Resources Company Energy 73,972 $4.7M 0.03% +10K +16.1%
255 AORT Artivion Inc Healthcare 127,103 $4.7M 0.03% NEW
256 HLIO Helios Technologies Inc Industrials 70,353 $4.6M 0.03% +10K +16.2%
257 CMC Commercial Metals Company Basic Materials 73,821 $4.5M 0.03% +11K +16.8%
258 Nomad Foods Ltd. 421,358 $4.0M 0.03% +110K +35.4%
259 FTNT Fortinet Inc Technology 48,388 $4.0M 0.03% -3K -6.4%
260 PLXS Plexus Corp Technology 19,255 $3.9M 0.03% +3K +15.3%
261 HL Hecla Mining Company Basic Materials 206,892 $3.9M 0.03% -533K -72.0%
262 BKR Baker Hughes Company Energy 62,114 $3.8M 0.03% -2K -3.7%
263 AVA Avista Corporation Utilities 92,177 $3.7M 0.03% +13K +16.7%
264 BBT Beacon Financial Corp. Financial Services 121,323 $3.6M 0.03% +17K +16.6%
265 ACAD Acadia Pharmaceuticals Inc Healthcare 160,794 $3.6M 0.03% NEW
266 CLSK CleanSpark Inc. Technology 415,223 $3.5M 0.03% +56K +15.6%
267 VWO Vanguard International Equity Index Funds FTSE EMR MKT ETF 64,872 $3.5M 0.03%
268 SM SM Energy Co. Energy 112,279 $3.5M 0.03% +13K +13.5%
269 CDNL Cardinal Infrastructure Group Inc. Industrials 87,372 $3.5M 0.03% NEW
270 CSMD Congress SMID Growth ETF 109,277 $3.4M 0.02% +27K +33.1%
271 MLTX MoonLake Immunotherapeutics Healthcare 178,555 $3.3M 0.02% +107K +151.2%
272 AMLP ALPS ETF Trust ALERIAN MLP 60,576 $3.2M 0.02% -10K -13.9%
273 LRN Stride Inc Consumer Defensive 36,138 $3.2M 0.02% NEW
274 PG The Procter & Gamble Co. Consumer Defensive 21,327 $3.1M 0.02% -7K -24.6%
275 CVI CVR Energy Inc. Energy 90,726 $3.1M 0.02% +13K +16.6%
276 KFY Korn Ferry Industrials 48,167 $3.0M 0.02% +8K +19.5%
277 STEP StepStone Group Inc Financial Services 62,909 $3.0M 0.02% NEW
278 EQIX Equinix, Inc. Real Estate 3,058 $3.0M 0.02%
279 LUMN Lumen Technologies Inc Communication Services 424,613 $3.0M 0.02% +60K +16.6%
280 IDA Idacorp Inc Utilities 20,562 $2.9M 0.02% +3K +17.1%
281 TPC Tutor Perini Corporation Industrials 37,751 $2.9M 0.02% NEW
282 IWO iShares Trust RUS 2000 GRW ETF 9,191 $2.9M 0.02% -67K -88.0%
283 PLNT Planet Fitness Inc. Consumer Cyclical 38,638 $2.9M 0.02% NEW
284 ANGL VanEck ETF Trust FALLEN ANGEL HIGH YIELD BOND ETF 99,743 $2.9M 0.02%
285 SMTC Semtech Corporation Technology 36,978 $2.8M 0.02% NEW
286 VSEC VSE Corp. Industrials 15,327 $2.8M 0.02% NEW
287 PFF iShares Trust PFD AND INCM SEC 93,001 $2.8M 0.02% +775 +0.8%
288 BDN Brandywine Realty Trust Real Estate 991,941 $2.7M 0.02% +136K +15.9%
289 SITE Siteone Landscape Supply Inc Industrials 19,547 $2.6M 0.02% NEW
290 URI United Rentals, Inc. Industrials 3,568 $2.6M 0.02%
291 EFA iShares Trust MSCI EAFE ETF 26,075 $2.5M 0.02% -335 -1.3%
292 LRGF State Street Spdr S&p 500 Etf Trust TR UNIT 3,881 $2.5M 0.02% +199 +5.4%
293 VCYT Veracyte Inc Healthcare 76,627 $2.5M 0.02% NEW
294 CP Canadian Pacific Kansas City Ltd. Industrials 30,675 $2.4M 0.02% -927 -2.9%
295 CAML Congress Large Cap Growth ETF 67,248 $2.4M 0.02% +2K +3.0%
296 SIMO Silicon Motion Technology Corp. Technology 20,674 $2.3M 0.02% NEW
297 RDNT Radnet Inc Healthcare 40,631 $2.3M 0.02% NEW
298 CCCC C4 Therapeutics Inc Healthcare 830,624 $2.2M 0.02% NEW
299 IRT Independence Realty Trust Inc Real Estate 144,897 $2.2M 0.01% +20K +16.3%
300 PGR The Progressive Corporation Financial Services 10,850 $2.2M 0.01% +6K +136.1%
301 LOAR Loar Holdings Inc Industrials 36,701 $2.1M 0.01% NEW
302 IJK iShares Trust S&P MC 400GR ETF 19,643 $2.0M 0.01% -45K -69.8%
303 VUG Vanguard Index Funds GROWTH ETF 4,523 $2.0M 0.01% -1K -21.0%
304 UPST Upstart Holdings Inc Financial Services 76,407 $2.0M 0.01% NEW
305 VRT Vertiv Holdings Co Industrials 7,800 $2.0M 0.01%
306 IRTC iRhythm Holdings Inc. Healthcare 16,461 $1.9M 0.01% NEW
307 MTH Meritage Homes Corp Consumer Cyclical 31,180 $1.9M 0.01% +4K +15.3%
308 ACVA ACV Auctions Inc Consumer Cyclical 447,544 $1.9M 0.01% +59K +15.2%
309 PI Impinj Inc Technology 17,668 $1.8M 0.01% NEW
310 PDBC Invesco Actively Managed Exchange-Traded Commodity Fund Trust OPTIMUM YIELD 101,700 $1.8M 0.01% -5K -5.1%
311 FA First Advantage Corp New Industrials 147,666 $1.7M 0.01% NEW
312 CDRE Cadre Holdings Inc. Industrials 54,364 $1.7M 0.01% NEW
313 VSS Vanguard International Equity Index Funds FTSE SMCAP ETF 11,398 $1.7M 0.01% +57 +0.5%
314 WING Wingstop Inc Consumer Cyclical 10,063 $1.6M 0.01% NEW
315 TMUS T-Mobile US Inc Communication Services 7,338 $1.5M 0.01% -219 -2.9%
316 KTOS Kratos Defense & Security Solutions, Inc. Industrials 21,854 $1.5M 0.01% NEW
317 PLMR Palomar Holdings Inc Financial Services 12,682 $1.5M 0.01% NEW
318 IJR iShares Trust CORE S&P SCP ETF 12,158 $1.5M 0.01% +1K +9.8%
319 AAXJ iShares Trust MSCI AC ASIA ETF 15,632 $1.5M 0.01% -2K -9.9%
320 FCN FTI Consulting, Inc. Industrials 8,464 $1.5M 0.01% -1K -13.8%
321 APD Air Products & Chemicals, Inc. Basic Materials 5,118 $1.5M 0.01% -161 -3.0%
322 FWRG First Watch Restaurant Group Inc Consumer Cyclical 140,997 $1.5M 0.01% NEW
323 XMTR Xometry Inc Industrials 35,786 $1.5M 0.01% NEW
324 PGNY Progyny Inc Healthcare 85,912 $1.5M 0.01% NEW
325 PAVE Global X Funds US INFR DEV ETF 28,467 $1.4M 0.01% -1K -4.8%
326 IMIDX Congress Mid Cap Growth Fund Inst Class 74,359 $1.4M 0.01% -2K -2.4%
327 RXO RXO Inc. Industrials 93,297 $1.4M 0.01% NEW
328 ADSK Autodesk Inc Technology 5,639 $1.3M 0.01% -756 -11.8%
329 GKOS Glaukos Corp. Healthcare 11,644 $1.3M 0.01% NEW
330 MS Morgan Stanley Financial Services 7,584 $1.2M 0.01% -2K -22.8%
331 ECG Everus Construction Group Inc. Industrials 9,768 $1.2M 0.01% NEW
332 VOO Vanguard Index Funds S&P 500 ETF SHS 1,893 $1.1M 0.01%
333 DRI Darden Restaurants, Inc. Consumer Cyclical 5,546 $1.1M 0.01% -410 -6.9%
334 MEG Montrose Environmental Group Inc Industrials 49,516 $1.1M 0.01% NEW
335 CSMCX Congress Small Cap Growth Fund 20,329 $980K 0.01% -113 -0.6%
336 NEOG Neogen Corp Healthcare 103,635 $963K 0.01% NEW
337 NCNO Ncino Inc. Technology 63,968 $958K 0.01% NEW
338 JNJ Johnson & Johnson Healthcare 3,905 $954K 0.01% -488 -11.1%
339 ORCL Oracle Corp. Technology 6,487 $954K 0.01% -90K -93.3%
340 GD General Dynamics Corporation Industrials 2,767 $950K 0.01% -217 -7.3%
341 RARE Ultragenyx Pharmaceuticals Inc Healthcare 44,908 $941K 0.01% NEW
342 PIPR Piper Sandler Companies Financial Services 12,180 $932K 0.01% NEW
343 JANX Janux Therapeutics Inc Healthcare 66,867 $929K 0.01% +10K +16.6%
344 SPGI S&P Global Inc Financial Services 2,174 $925K 0.01% -185 -7.8%
345 KO Coca-Cola Co (The) Consumer Defensive 12,108 $921K 0.01% -3K -18.4%
346 BK The Bank of New York Mellon Corp. Financial Services 7,632 $905K 0.01%
347 PANW Palo Alto Networks Inc Technology 5,561 $891K 0.01% -541K -99.0%
348 TXN Texas Instruments Inc. Technology 4,480 $870K 0.01% -100 -2.2%
349 INSP Inspire Medical Systems Inc Healthcare 15,983 $824K 0.01% +3K +22.3%
350 IVV iShares Trust CORE S&P500 ETF 1,226 $801K 0.01% -15K -92.4%
351 HON Honeywell International Inc. Industrials 3,471 $784K 0.01%
352 ADBE Adobe Inc Technology 3,179 $773K 0.01% -4K -58.1%
353 INTU Intuit Inc Technology 1,708 $738K 0.01% -1K -44.1%
354 NXPI NXP Semiconductors NV Technology 3,717 $732K 0.01% -766 -17.1%
355 ABBV AbbVie Inc. Healthcare 3,356 $730K 0.01% -320 -8.7%
356 ADP Automatic Data Processing, Inc. Industrials 3,405 $692K 0.01% -75 -2.2%
357 CHD Church & Dwight Co Inc. Consumer Defensive 7,156 $668K 0.01% -1K -13.1%
358 TDY Teledyne Technologies Inc Technology 1,095 $662K 0.01% -1K -49.9%
359 IWM iShares Trust RUSSELL 2000 ETF 2,650 $657K 0.01%
360 CAMLX Congress Large Cap Growth Fund - Retail Cl 14,630 $656K 0.01%
361 RMD ResMed Inc. Healthcare 2,894 $650K 0.01% -843 -22.6%
362 VRRM Verra Mobility Corporation Technology 45,393 $649K 0.01% NEW
363 MRK Merck & Co., Inc Healthcare 5,371 $646K 0.01% -565 -9.5%
364 MDY State Street Spdr S&p Midcap 400 Etf Trust UTSER1 S&PDCRP Financial Services 1,034 $638K 0.01% +147 +16.6%
365 GNRC Generac Holdings Inc. Industrials 3,190 $623K 0.00%
366 BRK.B Berkshire Hathaway Inc. Financial Services 1,250 $599K 0.00%
367 TSLA Tesla Inc Consumer Cyclical 1,565 $582K 0.00%
368 DECK Deckers Outdoor Corp. Consumer Cyclical 5,746 $575K 0.00% -6K -51.5%
369 FN Fabrinet Technology 1,100 $574K 0.00%
370 TTWO Take-Two Interactive Software Inc. Communication Services 2,828 $559K 0.00% -2K -35.1%
371 SITM Sitime Corporation Technology 1,593 $550K 0.00% NEW
372 CPRT Copart Inc Industrials 16,285 $541K 0.00% -22K -57.2%
373 XLK Select Sector Spdr Trust STATE STREET TECHNOLOGY SELECT SECTOR SPDR ETF 3,960 $526K 0.00%
374 SOJF Southern Co. Utilities 5,436 $525K 0.00% -446 -7.6%
375 Inmode Limited 37,852 $518K 0.00% NEW
376 EVH Evolent Health, Inc. Healthcare 226,278 $516K 0.00% +33K +16.8%
377 TFC Truist Financial Corp. Financial Services 11,066 $509K 0.00% -5K -31.8%
378 Sprouts Farmers Markets Inc 6,498 $501K 0.00% -226K -97.2%
379 KEYS Keysight Technologies, Inc. Technology 1,772 $500K 0.00% -550 -23.7%
380 CL Colgate-Palmolive Co. Consumer Defensive 5,851 $499K 0.00% -13K -68.4%
381 ITW Illinois Tool Works Inc. Industrials 1,914 $498K 0.00% -100 -5.0%
382 SPTM SPDR Series Trust STATE STREET SPDR PORTFOLIO S&P 1500 COMPOSITE STOCK MARKET ETF 6,213 $491K 0.00% +4K +155.6%
383 AJG Gallagher Aj &Co Financial Services 2,174 $471K 0.00% -4K -66.0%
384 VOT Vanguard Index Funds MCAP GR IDXVIP 1,783 $459K 0.00% -4K -67.3%
385 CHDN Churchill Downs Inc Consumer Cyclical 4,902 $440K 0.00%
386 SCCO Southern Copper Corporation Basic Materials 2,514 $433K 0.00% +20 +0.8%
387 FCX Freeport-McMoRan Inc. Basic Materials 7,352 $432K 0.00%
388 FXI iShares Trust CHINA LG-CAP ETF 11,914 $428K 0.00%
389 AFRM Affirm Holdings Inc Technology 9,000 $412K 0.00% NEW
390 MRVL Marvell Technology Inc Technology 3,990 $395K 0.00% -85 -2.1%
391 USFD US Foods Holding Corp Consumer Defensive 4,281 $395K 0.00% -4K -47.4%
392 DE Deere & Company Industrials 696 $392K 0.00%
393 AGYS Agilysys Inc Technology 5,354 $381K 0.00% NEW
394 ROP Roper Technologies Inc Industrials 1,030 $365K 0.00% -514 -33.3%
395 MRSH Marsh & McLennan Companies, Inc. Financial Services 2,087 $362K 0.00%
396 HOOD Robinhood Markets Inc Financial Services 5,200 $360K 0.00% NEW
397 NOC Northrop Grumman Corporation Industrials 526 $359K 0.00%
398 CNS Cohen And Steers Inc. Financial Services 5,319 $333K 0.00% -590 -10.0%
399 UNP Union Pacific Corporation Industrials 1,348 $327K 0.00% -322 -19.3%
400 ICE Intercontinental Exchange Inc Financial Services 1,980 $311K 0.00% -550 -21.7%
401 JHEQX JP Morgan Trust I HEDGED EQUITY I 9,214 $309K 0.00%
402 THR Thermon Group Holdings Inc Industrials 6,100 $307K 0.00%
403 BOX Box Inc. Technology 12,821 $303K 0.00% -1.8M -99.3%
404 IONS Ionis Pharmaceuticals, Inc. Healthcare 3,946 $296K 0.00% NEW
405 LOW Lowes Companies, Inc. Consumer Cyclical 1,210 $286K 0.00%
406 COHR Coherent Corp Technology 1,200 $286K 0.00% NEW
407 VRTX Vertex Pharmaceuticals Incorporated Healthcare 612 $273K 0.00% -325 -34.7%
408 PNC PNC Financial Services Group Inc. Financial Services 1,280 $266K 0.00%
409 IJT iShares Trust S&P SML 600 GWT 1,827 $264K 0.00% -2K -47.5%
410 UNH UnitedHealth Group Inc. Healthcare 949 $257K 0.00% -498 -34.4%
411 SAIA Saia Inc Industrials 725 $255K 0.00% -185 -20.3%
412 ONTO Onto Innovation Inc. Technology 1,155 $237K 0.00% -205 -15.1%
413 SEI Solaris Energy Infrastructure Inc Energy 4,147 $234K 0.00% NEW
414 QQQM Invesco QQQ Trust, Series 1 UNIT SER 1 395 $228K 0.00% -9 -2.2%
415 ABT Abbott Laboratories Healthcare 2,102 $216K 0.00%
416 CNI Canadian National Railway Company Industrials 2,045 $210K 0.00%
417 ORRCF Oroco Resources Co 21,675 $6K
Sector Allocation
Technology 27.4%
Industrials 19.9%
Healthcare 13.9%
Consumer Cyclical 12.7%
Financial Services 7.6%
Communication Services 5.5%
Basic Materials 3.7%
Consumer Defensive 3.6%
Energy 2.0%
Utilities 1.9%