Find Institutional Investor
Institutional Investor
Browse Institutional Investors
Time Period
Activity
Security Type
Top Percentile
?
Use this filter to see holdings within a selected percentile portfolio.

For example, click 10 to show only holdings in the top 10 percentile.

100908070605040302010%
Sectors
?
Use the pull down list to add one or more sectors to the space below and click Apply to filter out the holdings that belong to your selected sector(s).
 
Stock Style
?
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
22
6
18
3
6
2
21
13
16
COOKSON PEIRCE CO INC

Time Period2018-03-31

Total Holdings143

Total Value ($x1000)1,104,452
Activities
New38

Increased65

Unchanged10

Decreased30

Sold Out43

Top 10 Stock Holdingstotal 31.63%
DXC4.04

PYPL3.96

ABT3.64

RTN3.26

PX3.18

 
BLK2.85

HON2.79

STI2.68

NVDA2.65

AAPL2.58

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
DXC
4.04%
COM
PYPL
3.96%
COM
ABT
3.64%
COM
RTN
3.26%
COM NEW
PX
3.18%
COM
BLK
2.85%
COM
HON
2.79%
COM
STI
2.68%
COM
NVDA
2.65%
COM
AAPL
2.58%
COM
AXP
2.48%
COM
APH
2.45%
CL A
MAR
2.45%
CL A
CMA
2.37%
COM
CSCO
2.18%
COM
RF
2.17%
COM
TOL
2.06%
COM
SPGI
2.05%
COM
MSFT
1.89%
COM
VMW
1.85%
CL A COM
TSM
1.75%
SPONSORED ADR
CRM
1.69%
COM
UNP
1.64%
COM
BABA
1.64%
SPONSORED ADS
IEX
1.55%
COM
TFX
1.5%
COM
PHG
1.42%
NY REG SH NEW
NEE
1.41%
COM
BYD
1.37%
COM
TXT
1.35%
COM
MLNX
1.25%
SHS
VRSK
1.12%
CL A
TROW
1.05%
COM
HRS
1.05%
COM
SCHW
1.02%
COM
EW
1.02%
COM
PVH
1.01%
COM
HBC
0.96%
SPON ADR NEW
PGR
0.9%
COM
BSCN
0.88%
2023 CORP BOND
GMED
0.84%
CL A
STLD
0.78%
COM
AME
0.77%
COM
NDSN
0.76%
COM
LYB
0.75%
SHS - A -
LDOS
0.74%
COM
RHT
0.73%
COM
MS
0.72%
COM NEW
ODFL
0.67%
COM
DOV
0.66%
COM
WYN
0.62%
COM
NTRS
0.62%
COM
AJG
0.58%
COM
WYNN
0.56%
COM
VFC
0.48%
COM
BSCJ
0.47%
GUG BULL2019 E
BSCK
0.46%
GUG BULL2020 E
BSCL
0.46%
GUGG BULSH 2021
BSCM
0.46%
GUGG BULSH 2022
BSCO
0.45%
2024 CORP BOND
TTWO
0.41%
COM
WM
0.38%
COM
CC
0.38%
COM
TMO
0.36%
COM
YUM
0.35%
COM
CTSH
0.35%
CL A
VSM
0.35%
COM
FIS
0.34%
COM
FOE
0.27%
COM
MA
0.24%
CL A
IBKR
0.21%
COM
WCN
0.17%
COM
LFUS
0.15%
COM
VRTX
0.14%
COM
JPM
0.14%
COM
CR
0.13%
COM
GGG
0.12%
COM
TPR
0.12%
COM
CHDN
0.12%
COM
ATVI
0.11%
COM
KMPR
0.11%
COM
PENN
0.1%
COM
ROP
0.1%
COM
KLAC
0.1%
COM
EWBC
0.1%
COM
VALE
0.1%
ADR
MZOR
0.1%
SPONSORED ADS
IGV
0.09%
NA TEC-SFTWR ETF
ING
0.09%
SPONSORED ADR
BA
0.09%
COM
AFL
0.09%
COM
PRLB
0.08%
COM
SIVB
0.08%
COM
TTEK
0.08%
COM
SNPS
0.07%
COM
LLL
0.07%
COM
IAI
0.07%
U.S. BR-DEAL ETF
ILF
0.07%
LATN AMER 40 ETF
RCL
0.07%
COM
SCZ
0.06%
EAFE SML CP ETF
ETN
0.06%
SHS
FDX
0.06%
COM
XCEM
0.06%
EM CORE EX ETF
EZU
0.06%
EMU ETF
ITA
0.06%
U.S. AER&DEF ETF
CNHI
0.05%
SHS
NEOG
0.05%
COM
ACN
0.05%
SHS CLASS A
ANSS
0.05%
COM
FTNT
0.05%
COM
SGMO
0.05%
COM
SOXX
0.05%
PHLX SEMICND ETF
AZPN
0.04%
COM
HBHC
0.04%
COM
FFIV
0.04%
COM
DAL
0.04%
COM NEW
IR
0.04%
SHS
DHR
0.04%
COM
PSCH
0.04%
S&P SMCP HC PO
MKSI
0.04%
COM
GLPG
0.04%
SPON ADR
BJK
0.04%
GAMING ETF
CCL
0.04%
PAIRED CTF
VRSN
0.04%
COM
BBT
0.04%
COM
FDS
0.03%
COM
DATA
0.03%
CL A
MCHI
0.03%
CHINA ETF
ISRG
0.03%
COM NEW
PKI
0.03%
COM
DECK
0.03%
COM
NTAP
0.03%
COM
V
0.03%
COM CL A
CPRT
0.03%
COM
EWJ
0.03%
MSCI JPN ETF NEW
FHK
0.03%
HONG KONG ALPH
MANT
0.02%
CL A
UNH
0.02%
COM
LVS
0.02%
COM
JBHT
0.02%
COM
STE
0.02%
SHS USD
PAYC
0.02%
COM
NOC
0.02%
COM
MCHP
2.22%
COM
NSC
2.11%
COM
FMC
1.83%
COM NEW
DWDP
1.78%
COM
GLW
1.67%
COM
HII
1.36%
COM
XEL
1.29%
COM
ED
0.9%
COM
RJF
0.9%
COM
VC
0.76%
COM NEW
MMM
0.76%
COM
CGNX
0.58%
COM
MTN
0.57%
COM
BCO
0.47%
COM
AMAT
0.44%
COM
MPWR
0.38%
COM
TEX
0.37%
COM
CSX
0.33%
COM
ADSK
0.23%
COM
PKG
0.19%
COM
TMK
0.14%
COM
DE
0.1%
COM
ADI
0.09%
COM
DBEF
0.07%
XTRAK MSCI EAFE
SMG
0.07%
CL A
AEP
0.06%
COM
MTD
0.06%
COM
CBOE
0.06%
COM
IIVI
0.06%
COM
IXJ
0.05%
GLOB HLTHCRE ETF
BRK.B
0.05%
CL B NEW
CROP
0.05%
GLB AGRI SM CP
CRZO
0.04%
COM
DIS
0.04%
COM DISNEY
OLED
0.04%
COM
SAP
0.04%
SPON ADR
PFG
0.04%
COM
IBM
0.04%
COM
CREE
0.04%
COM
CNP
0.04%
COM
CRL
0.04%
COM
HIG
0.03%
COM
SAM
0.03%
CL A