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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
17
8
15
2
4
1
23
18
17
COOKSON PEIRCE CO INC

Time Period2018-09-30

Total Holdings134

Total Value ($x1000)1,246,583
Activities
New37

Increased66

Unchanged6

Decreased25

Sold Out34

Top 10 Stock Holdingstotal 33.22%
ABT4

PYPL3.96

COP3.95

UNP3.37

NVDA3.3

 
AAPL3.12

PX3.09

KSS2.9

HUM2.88

PFE2.65

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
ABT
4%
COM
PYPL
3.96%
COM
COP
3.95%
COM
UNP
3.37%
COM
NVDA
3.3%
COM
AAPL
3.12%
COM
PX
3.09%
COM
KSS
2.9%
COM
HUM
2.88%
COM
PFE
2.65%
COM
GWW
2.65%
COM
AXP
2.48%
COM
ILMN
2.39%
COM
RF
2.37%
COM
STI
2.33%
COM
CRM
2.29%
COM
VMW
2.2%
CL A COM
MSFT
2.13%
COM
CSCO
2.12%
COM
FTNT
2.12%
COM
EW
2%
COM
SPGI
1.86%
COM
CMA
1.85%
COM
DRI
1.79%
COM
PBF
1.74%
CL A
TDG
1.73%
COM
HFC
1.64%
COM
TXT
1.63%
COM
HCA
1.52%
COM
VALE
1.36%
ADR
IEX
1.35%
COM
PHG
1.32%
NY REG SH NEW
VRSK
1.19%
CL A
MLNX
1.11%
SHS
STLD
0.92%
COM
OLLI
0.92%
COM
GMED
0.91%
CL A
TROW
0.89%
COM
IR
0.85%
SHS
PGR
0.84%
COM
PAYC
0.83%
COM
BSCN
0.82%
BULSHS 2023 CB
PAYX
0.77%
COM
DPZ
0.7%
COM
TTWO
0.63%
COM
ROST
0.6%
COM
ODFL
0.59%
COM
ASH
0.55%
COM
NTRS
0.52%
COM
BSCL
0.51%
BULSHS 2021 CB
TXRH
0.5%
COM
VFC
0.49%
COM
RHT
0.49%
COM
BSCJ
0.45%
BULSHS 2019 CB
BSCK
0.45%
BULSHS 2020 CB
BSCM
0.45%
BULSHS 2022 CB
BSCO
0.45%
BULSHS 2024 CB
KEYS
0.44%
COM
OKTA
0.42%
CL A
TMO
0.37%
COM
OKE
0.34%
COM
ALRM
0.3%
COM
MA
0.3%
CL A
TCB
0.29%
COM
KMPR
0.18%
COM
TTEK
0.18%
COM
WCN
0.17%
COM
PRLB
0.14%
COM
AKAM
0.12%
COM
SIVB
0.11%
COM
YUM
0.11%
COM
IGV
0.1%
NA TEC-SFTWR ETF
WBS
0.1%
COM
MSA
0.09%
COM
BA
0.09%
COM
SPW
0.08%
COM
AES
0.08%
COM
URBN
0.08%
COM
FFIV
0.08%
COM
EVR
0.07%
CLASS A
NEOG
0.07%
COM
MTN
0.07%
COM
PSCH
0.06%
S&P SMLCP HELT
ANSS
0.06%
COM
LOW
0.06%
COM
IAI
0.06%
U.S. BR-DEAL ETF
IOO
0.06%
GLOBAL 100 ETF
OXY
0.06%
COM
RXI
0.06%
GLB CNS DISC ETF
IXC
0.06%
GLOBAL ENERG ETF
NKE
0.06%
CL B
SGEN
0.06%
COM
AZPN
0.06%
COM
ITA
0.05%
U.S. AER&DEF ETF
AME
0.05%
COM
W
0.05%
CL A
EXC
0.05%
COM
EZU
0.05%
EMU ETF
UAL
0.05%
COM
ACN
0.05%
SHS CLASS A
SOXX
0.05%
PHLX SEMICND ETF
PANW
0.05%
COM
DECK
0.04%
COM
BP
0.04%
SPONSORED ADR
VRSN
0.04%
COM
ISRG
0.04%
COM NEW
FLS
0.04%
COM
DHR
0.04%
COM
RCL
0.04%
COM
SQ
0.04%
CL A
PSX
0.04%
COM
PKI
0.04%
COM
NTAP
0.04%
COM
V
0.03%
COM CL A
RHI
0.03%
COM
WAB
0.03%
COM
BBT
0.03%
COM
CBSH
0.03%
COM
SPLK
0.03%
COM
DIS
0.03%
COM DISNEY
KORS
0.03%
SHS
EWJ
0.03%
MSCI JPN ETF NEW
AMGN
0.03%
COM
MANT
0.03%
CL A
JBHT
0.02%
COM
PIN
0.02%
INDIA ETF
STE
0.02%
SHS USD
UNH
0.02%
COM
PSCC
0.02%
S&P SMLCP STAP
AMZN
0.02%
COM
CWST
0.02%
CL A
AMD
0.02%
COM
RPM
0.02%
COM
FDS
0.02%
COM
BLK
2.58%
COM
MAR
2.23%
CL A
BABA
1.63%
SPONSORED ADS
WYNN
1.38%
COM
BYD
1.13%
COM
IBKR
1.1%
COM
SCHW
1.01%
COM
PVH
1.01%
COM
LYB
0.76%
SHS - A -
CREE
0.74%
COM
DXC
0.41%
COM
CTSH
0.33%
CL A
WH
0.3%
COM
DOV
0.22%
COM
WYN
0.17%
COM
CHDN
0.15%
COM
ATVI
0.13%
COM
PENN
0.12%
COM
HBC
0.1%
SPON ADR NEW
VSM
0.1%
COM
MZOR
0.09%
SPONSORED ADS
AFL
0.09%
COM
SCZ
0.06%
EAFE SML CP ETF
FDX
0.06%
COM
PAHC
0.05%
CL A COM
BJK
0.04%
GAMING ETF
MLCO
0.04%
ADR
EMN
0.04%
COM
STX
0.04%
SHS
CPRT
0.03%
COM
MCHI
0.03%
CHINA ETF
FKU
0.03%
UNIT KING ALPH
FHK
0.02%
HONG KONG ALPH
LVS
0.02%
COM