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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
26
11
18
1
4
3
26
10
22
KAMES CAPITAL PLC

Time Period2018-12-31

Total Holdings157

Total Value ($x1000)3,129,960
Activities
New28

Increased33

Unchanged33

Decreased63

Sold Out56

Top 10 Stock Holdingstotal 32.16%
GOOG3.91

CME3.88

NEE3.74

BURL3.36

AMZN3.36

 
JNJ2.89

LW2.88

PFE2.86

MKTX2.66

V2.62

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
GOOG
3.91%
CAP STK CL C
CME
3.88%
COM
NEE
3.74%
COM
BURL
3.36%
COM
AMZN
3.36%
COM
JNJ
2.89%
COM
LW
2.88%
COM
PFE
2.86%
COM
MKTX
2.66%
COM
V
2.62%
COM CL A
WP
2.49%
CL A
MSFT
2.48%
COM
AVGO
2.42%
COM
JPM
2.32%
COM
GDOT
2.24%
CL A
EOG
2.06%
COM
NOW
2.05%
COM
SERV
2.02%
COM
ISRG
1.95%
COM NEW
LMT
1.85%
COM
FB
1.75%
CL A
TTEK
1.71%
COM
BA
1.5%
COM
ANSS
1.47%
COM
XYL
1.41%
COM
AAPL
1.38%
COM
EXAS
1.35%
COM
ALB
1.3%
COM
CVX
1.29%
COM
EPAM
1.26%
COM
AMT
1.25%
COM
AVY
1.23%
COM
TER
1.22%
COM
PODD
1.2%
COM
TSM
1.09%
SPONSORED ADR
SIVB
1.01%
COM
CL
1%
COM
KAR
0.94%
COM
GOOGL
0.93%
CAP STK CL A
FRC
0.92%
COM
APD
0.86%
COM
MXIM
0.84%
COM
ATVI
0.84%
COM
IT
0.83%
COM
BABA
0.77%
SPONSORED ADS
COHR
0.74%
COM
HXL
0.74%
COM
CSCO
0.68%
COM
ADBE
0.63%
COM
OLED
0.52%
COM
NRZ
0.51%
COM NEW
WSO
0.46%
COM
NSP
0.46%
COM
CVS
0.45%
COM
EVBG
0.44%
COM
GPMT
0.41%
COM
CDW
0.4%
COM
SITE
0.38%
COM
TWO
0.36%
COM NEW
TRTX
0.34%
COM
CLX
0.34%
COM
VEEV
0.3%
CL A COM
TROW
0.3%
COM
JKHY
0.3%
COM
BAND
0.29%
CL A
WUBA
0.29%
SPON ADR REP A
STWD
0.27%
COM
NDAQ
0.27%
COM
MU
0.26%
COM
RAVN
0.25%
COM
NUE
0.25%
COM
ABBV
0.24%
COM
LRCX
0.23%
COM
PRFT
0.23%
COM
MPWR
0.23%
COM
ATRI
0.22%
COM
JPC
0.18%
COM
ENTG
0.18%
COM
RNG
0.16%
CL A
HST
0.16%
COM
MRTN
0.15%
COM
WB
0.13%
SPONSORED ADR
ABR
0.12%
COM
ESE
0.11%
COM
UNH
0.1%
COM
EMR
0.1%
COM
HD
0.09%
COM
XOM
0.09%
COM
PLNT
0.08%
CL A
TXN
0.07%
COM
UNP
0.07%
COM
ILMN
0.07%
COM
ALL
0.06%
COM
BHGE
0.06%
CL A
MDLZ
0.06%
CL A
FIS
0.06%
COM
TAP
0.06%
CL B
DG
0.06%
COM
R
0.06%
COM
BAX
0.06%
COM
ZTS
0.06%
CL A
MDSO
0.06%
COM
EW
0.06%
COM
PGR
0.06%
COM
ICE
0.05%
COM
TMUS
0.05%
COM
ROST
0.05%
COM
VIAB
0.05%
CL B
WM
0.05%
COM
CTSH
0.05%
CL A
MSGN
0.05%
CL A
IDXX
0.05%
COM
RTN
0.05%
COM NEW
SU
0.05%
COM
FFIV
0.05%
COM
WCN
0.05%
COM
WTS
0.05%
CL A
TMK
0.05%
COM
KO
0.05%
COM
NVDA
0.05%
COM
TTWO
0.05%
COM
DRE
0.05%
COM NEW
ANAT
0.05%
COM
TRU
0.05%
COM
ALLK
0.05%
COM
FIVE
0.05%
COM
KLAC
0.05%
COM
PRU
0.05%
COM
PJT
0.05%
COM CL A
MKC
0.04%
COM NON VTG
BBY
0.04%
COM
EVR
0.04%
CLASS A
WCG
0.04%
COM
PRI
0.04%
COM
OLLI
0.04%
COM
PEN
0.04%
COM
PRAH
0.04%
COM
NIHD
0.04%
COM PAR $0.001
UGI
0.04%
COM
DPZ
0.04%
COM
STLD
0.04%
COM
HBAN
0.04%
COM
LYV
0.04%
COM
PVAC
0.04%
COM
VICI
0.04%
COM
BPOP
0.04%
COM NEW
NOVT
0.03%
COM
MED
0.03%
COM
T
0.03%
COM
EQR
0.03%
SH BEN INT
TECK
0.03%
CL B
COLD
0.03%
COM
DOOO
0.03%
COM SUN VTG
KEY
0.03%
COM
MFC
0.03%
COM
MO
0.02%
COM
WIFI
0.02%
COM
PX
1.62%
COM
LFUS
1.48%
COM
AET
1.23%
COM
ASGN
1.22%
COM
ZION
1.02%
COM
LECO
0.72%
COM
BLD
0.49%
COM
MB
0.31%
COM CL A
BTI
0.18%
SPONSORED ADR
CBPX
0.12%
COM
HCN
0.11%
COM
VTR
0.1%
COM
ARI
0.08%
COM
FII
0.06%
CL B
STI
0.05%
COM
FDX
0.05%
COM
EV
0.05%
COM NON VTG
EA
0.04%
COM
RGA
0.04%
COM NEW
CFG
0.04%
COM
SC
0.04%
COM
LOB
0.04%
COM
FAF
0.04%
COM
AMAT
0.04%
COM
MGA
0.04%
COM
LEA
0.03%
COM NEW
MHK
0.03%
COM
VZ
0.03%
COM
MRK
0.03%
COM
URI
0.03%
COM
AA
0.03%
COM
PEP
0.02%
COM
IBM
0.02%
COM
BKU
0.02%
COM
PM
0.02%
COM
TMHC
0.02%
CL A
MDR
0.02%
COM
OSB
0.02%
COM NEW
TOL
0.02%
COM
TRP
0.02%
COM
PPC
0.02%
COM
MITT
0.01%
COM
XEL
0.01%
COM
MS
0.01%
COM NEW
PFG
0.01%
COM
C
0.01%
COM NEW
ADI
0.01%
COM
CMCSA
0.01%
CL A
ADP
0.01%
COM
MPC
0.01%
COM
OXY
0.01%
COM
BMY
0.01%
COM
PLD
< 0.01%
COM
AVB
< 0.01%
COM
DWDP
< 0.01%
COM
VNO
< 0.01%
SH BEN INT