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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
39
7
16
2
6
5
29
8
16
ARGENT CAPITAL MANAGEMENT LLC

Time Period2018-12-31

Total Holdings186

Total Value ($x1000)1,981,386
Activities
New12

Increased40

Unchanged21

Decreased113

Sold Out25

Top 10 Stock Holdingstotal 38.86%
JPM5.02

GOOGL4.66

POST4.4

MRVL4.05

MA3.84

 
COP3.82

RHT3.64

FTV3.26

DHR3.23

AAPL2.94

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
JPM
5.02%
COM
GOOGL
4.66%
CAP STK CL A
POST
4.4%
COM
MRVL
4.05%
ORD
MA
3.84%
CL A
COP
3.82%
COM
RHT
3.64%
COM
FTV
3.26%
COM
DHR
3.23%
COM
AAPL
2.94%
COM
BAX
2.73%
COM
MAS
2.69%
COM
STI
2.33%
COM
BSX
2.3%
COM
ETFC
2.14%
COM NEW
GOOG
2.05%
CAP STK CL C
SCHX
1.72%
US LRG CAP ETF
VFC
1.66%
COM
CTSH
1.64%
CL A
TGT
1.48%
COM
PFE
1.39%
COM
ON
1.37%
COM
BIIB
1.32%
COM
FDC
1.22%
CL A
NVT
1.2%
SHS
MSFT
1.16%
COM
WYNN
1.14%
COM
FLIR
1.13%
COM
PEP
1.11%
COM
RHI
1.1%
COM
LSI
1.09%
COM
BMY
1.07%
COM
FB
0.98%
CL A
CVX
0.97%
COM
HDS
0.95%
COM
WSM
0.89%
COM
ETN
0.86%
SHS
EMR
0.86%
COM
PFG
0.8%
COM
LVS
0.8%
COM
BA
0.79%
COM
SCHD
0.75%
US DIVIDEND EQ
IVV
0.7%
CORE S&P500 ETF
CMCSA
0.69%
CL A
TROW
0.68%
COM
CSCO
0.63%
COM
PG
0.58%
COM
VZ
0.55%
COM
WFC
0.55%
COM
INTC
0.54%
COM
PRU
0.54%
COM
HUN
0.53%
COM
SPY
0.38%
TR UNIT
FTNT
0.3%
COM
MMSI
0.28%
COM
WTFC
0.27%
COM
PLNT
0.26%
CL A
AMPH
0.24%
COM
PINC
0.23%
CL A
GMED
0.22%
CL A
GTN
0.19%
COM
LIND
0.19%
COM
OXY
0.19%
COM
PETQ
0.18%
CL A
OFIX
0.17%
COM
TRTN
0.17%
CL A
CARB
0.17%
COM
DCO
0.17%
COM
COLM
0.16%
COM
GILD
0.16%
COM
GIII
0.15%
COM
MTZ
0.15%
COM
UFPT
0.15%
COM
STL
0.15%
COM
VG
0.15%
COM
CLAR
0.15%
COM
WD
0.15%
COM
GIS
0.14%
COM
UPLD
0.14%
COM
ATKR
0.14%
COM
LITE
0.14%
COM
TPB
0.14%
COM
ALRM
0.14%
COM
VOOV
0.13%
500 VAL IDX FD
QTNA
0.13%
COM
FOE
0.13%
COM
SUPN
0.13%
COM
HRTG
0.13%
COM
CECE
0.13%
COM
STRL
0.12%
COM
ELY
0.12%
COM
HIIQ
0.11%
COM CL A
JNJ
0.11%
COM
EMN
0.11%
COM
PWR
0.1%
COM
AGM
0.1%
CL C
TVPT
0.1%
SHS
IIVI
0.09%
COM
CUZ
0.09%
COM
OMF
0.09%
COM
CRS
0.09%
COM
ARA
0.09%
COM
CTL
0.08%
COM
DIOD
0.08%
COM
PUMP
0.07%
COM
CHFC
0.07%
COM
AXAS
0.07%
COM
RILY
0.07%
COM
AMED
0.07%
COM
ANIP
0.07%
COM
ADP
0.07%
COM
KFY
0.07%
COM NEW
MRTN
0.07%
COM
RM
0.07%
COM
JOUT
0.07%
CL A
FARO
0.06%
COM
EPM
0.06%
COM
HELE
0.06%
COM
CDW
0.06%
COM
WMT
0.06%
COM
SOI
0.06%
CL A
CIEN
0.06%
COM NEW
AMRX
0.06%
CL A
BFAM
0.06%
COM
UACL
0.06%
COM
INBK
0.06%
COM
CTAS
0.06%
COM
BRK.B
0.05%
CL B NEW
INT
0.05%
COM
ZBRA
0.05%
CL A
VOO
0.05%
SHS
XLNX
0.05%
COM
NEE
0.05%
COM
ALSN
0.05%
COM
LII
0.05%
COM
CTO
0.05%
COM
USB
0.05%
COM NEW
LMT
0.05%
COM
HCA
0.05%
COM
NKE
0.05%
CL B
AMGN
0.05%
COM
CI
0.04%
COM
ATR
0.04%
COM
SMMF
0.04%
COM
UTX
0.04%
COM
A
0.04%
COM
NTAP
0.04%
COM
DRI
0.04%
COM
HON
0.04%
COM
HRC
0.04%
COM
HD
0.04%
COM
DIS
0.04%
COM DISNEY
DWDP
0.04%
COM
WP
0.04%
CL A
MRK
0.03%
COM
V
0.03%
COM CL A
NVR
0.03%
COM
RDN
0.03%
COM
CPRT
0.03%
COM
SERV
0.03%
COM
TXN
0.03%
COM
KMB
0.03%
COM
ABBV
0.03%
COM
ABT
0.03%
COM
XOM
0.02%
COM
DFS
0.02%
COM
KO
0.02%
COM
AAP
0.02%
COM
CBS
0.02%
CL B
YUM
0.02%
COM
TRV
0.02%
COM
RS
0.02%
COM
NVDA
0.02%
COM
IEMG
0.02%
CORE MSCI EMKT
MCD
0.02%
COM
1/100 BE...
0.02%
COM
MMM
0.01%
COM
CP
0.01%
COM
IBM
0.01%
COM
IDV
0.01%
INTL SEL DIV ETF
EL
0.01%
CL A
PSX
0.01%
COM
NUAN
0.01%
COM
CBSH
0.01%
COM
IEFA
0.01%
CORE MSCI EAFE
FTK
0.01%
COM
CY
0.26%
COM
PPBI
0.16%
COM
ASUR
0.11%
COM
MCRI
0.1%
COM
BCC
0.09%
COM
HIBB
0.08%
COM
MNTX
0.06%
COM
URI
0.04%
COM
EVR
0.03%
CLASS A
CI
0.03%
COM
RL
0.03%
CL A
CLR
0.03%
COM
CTLT
0.03%
COM
FMC
0.03%
COM NEW
HII
0.03%
COM
KMT
0.03%
COM
VC
0.03%
COM NEW
LNC
0.03%
COM
UFPI
0.03%
COM
VAC
0.03%
COM
LMB
0.02%
COM
AXTA
0.02%
COM
LEG
0.02%
COM
PM
0.01%
COM
CHTR
0.01%
CL A