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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
7
5
35
0
7
2
27
18
37
ATLANTA CAPITAL MANAGEMENT CO LLC

Time Period2019-06-30

Total Holdings160

Total Value ($x1000)22,281,677
Activities
New4

Increased85

Unchanged2

Decreased69

Sold Out45

Top 10 Stock Holdingstotal 26.4%
TFX3.59

WRB3.22

ARMK2.99

TRU2.87

SERV2.65

 
CDW2.44

ATR2.35

MANH2.22

WEX2.08

HSIC1.99

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
TFX
3.59%
COM
WRB
3.22%
COM
ARMK
2.99%
COM
TRU
2.87%
COM
SERV
2.65%
COM
CDW
2.44%
COM
ATR
2.35%
COM
MANH
2.22%
COM
WEX
2.08%
COM
HSIC
1.99%
COM
LII
1.96%
COM
JBHT
1.73%
COM
BLKB
1.71%
COM
CSL
1.68%
COM
ANSS
1.67%
COM
KEX
1.55%
COM
IEX
1.51%
COM
MKL
1.43%
COM
SEIC
1.42%
COM
COLM
1.34%
COM
TECH
1.26%
COM
CHH
1.25%
COM
FICO
1.23%
COM
XRAY
1.22%
COM
V
1.22%
COM CL A
IT
1.2%
COM
LSTR
1.13%
COM
MORN
1.1%
COM
TMO
1.09%
COM
UMPQ
1.08%
COM
FTDR
1.07%
COM
BIO
1.06%
CL A
CPRT
1.03%
COM
DHR
1.03%
COM
SXT
1.02%
COM
FLIR
1%
COM
NDSN
1%
COM
BR
1%
COM
PB
0.97%
COM
AYI
0.95%
COM
RPM
0.9%
COM
JLL
0.89%
COM
MA
0.86%
CL A
JKHY
0.83%
COM
FDS
0.82%
COM
MSFT
0.81%
COM
GOOG
0.79%
CAP STK CL C
AMT
0.77%
COM
SBH
0.76%
COM
GGG
0.76%
COM
SCI
0.75%
COM
FISV
0.75%
COM
TRMB
0.75%
COM
POOL
0.74%
COM
VRSK
0.73%
CL A
TJX
0.7%
COM
VAR
0.7%
COM
ECL
0.69%
COM
BLL
0.66%
COM
LIN
0.65%
COM
DG
0.63%
COM
ZTS
0.63%
CL A
DCI
0.61%
COM
WABC
0.61%
COM
ICE
0.59%
COM
CHKP
0.56%
ORD
AMG
0.46%
COM
WTM
0.45%
COM
INTU
0.42%
COM
APH
0.41%
CL A
USB
0.38%
COM NEW
GPN
0.37%
COM
MMC
0.37%
COM
FIS
0.35%
COM
CVET
0.35%
COM
XYL
0.34%
COM
CASY
0.33%
COM
EL
0.32%
CL A
ACN
0.3%
SHS CLASS A
MDLZ
0.3%
CL A
HXL
0.28%
COM
CHD
0.28%
COM
ROST
0.27%
COM
CLGX
0.27%
COM
JJSF
0.26%
COM
STE
0.26%
SHS USD
LH
0.26%
COM NEW
DORM
0.25%
COM
MMM
0.25%
COM
MOG/A
0.24%
CL A
DEO
0.23%
SPON ADR NEW
SBUX
0.23%
COM
EXPO
0.22%
COM
LOW
0.22%
COM
SHW
0.22%
COM
BECN
0.22%
COM
QGEN
0.22%
SHS NEW
CMCSA
0.22%
CL A
ICUI
0.21%
COM
INFO
0.21%
SHS
PEP
0.21%
COM
ORLY
0.21%
COM
UNF
0.2%
COM
SSB
0.19%
COM
IPAR
0.19%
COM
KNSL
0.18%
COM
TXN
0.18%
COM
IART
0.17%
COM NEW
SCHW
0.17%
COM
AON
0.17%
SHS CL A
COO
0.16%
COM NEW
FTV
0.16%
COM
EA
0.16%
COM
CCI
0.16%
COM
DIS
0.15%
COM DISNEY
FWRD
0.15%
COM
MNRO
0.15%
COM
TEL
0.15%
REG SHS
WWW
0.14%
COM
ENV
0.14%
COM
IBKC
0.14%
COM
RLI
0.14%
COM
NKE
0.14%
CL B
SSD
0.13%
COM
HURN
0.12%
COM
CADE
0.12%
CL A
MLAB
0.12%
COM
NATI
0.12%
COM
PNFP
0.12%
COM
GNRC
0.12%
COM
EBS
0.11%
COM
POWI
0.11%
COM
BKNG
0.11%
COM
UHT
0.1%
SH BEN INT
AAON
0.1%
COM PAR $0.004
WBT
0.1%
COM
APAM
0.1%
CL A
SCL
0.1%
COM
BCPC
0.1%
COM
ALG
0.1%
COM
SLGN
0.1%
COM
CENT
0.1%
COM
CASS
0.1%
COM
DRQ
0.1%
COM
ECOL
0.1%
COM
LANC
0.09%
COM
FB
0.09%
CL A
RAVN
0.09%
COM
PLUS
0.08%
COM
PDCO
0.06%
COM
SCSC
0.06%
COM
ACIW
0.05%
COM
FCN
0.05%
COM
IWM
0.02%
RUSSELL 2000 ETF
MDT
0.01%
SHS
JNJ
0.01%
COM
SLB
0.01%
COM
IWB
0.01%
RUS 1000 ETF
EOG
< 0.01%
COM
XLV
< 0.01%
SBI HEALTHCARE
NAVG
0.2%
COM
CERN
0.14%
COM
TGNA
0.01%
COM
MDP
0.01%
COM
TAP
0.01%
CL B
NYT
0.01%
CL A
JNPR
0.01%
COM
BG
0.01%
COM
NTRS
0.01%
COM
ODP
0.01%
COM
WERN
0.01%
COM
LKQ
0.01%
COM
UFS
0.01%
COM NEW
TDC
0.01%
COM
DGX
0.01%
COM
JBL
0.01%
COM
WHR
0.01%
COM
SRCL
0.01%
COM
CARS
0.01%
COM
MAT
0.01%
COM
WAB
0.01%
COM
AKAM
0.01%
COM
CINF
0.01%
COM
NUAN
0.01%
COM
CREE
0.01%
COM
CPA
0.01%
CL A
RJF
0.01%
COM
AGCO
0.01%
COM
OC
0.01%
COM
GNTX
0.01%
COM
HRL
0.01%
COM
LGF/B
0.01%
CL B NON VTG
CTB
< 0.01%
COM
FTI
< 0.01%
COM
MDR
< 0.01%
COM
MAN
< 0.01%
COM
SCHL
< 0.01%
COM
MGA
< 0.01%
COM
LEA
< 0.01%
COM NEW
LGF/A
< 0.01%
CL A VTG
ARNC
< 0.01%
COM
ITRI
< 0.01%
COM
SNN
< 0.01%
SPDN ADR NEW
VREX
< 0.01%
COM
UIS
< 0.01%
COM NEW