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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
31
4
11
1
2
3
30
12
16
MCKINLEY CAPITAL MANAGEMENT LLC DELAWARE

Time Period2019-06-30

Total Holdings210

Total Value ($x1000)1,568,403
Activities
New35

Increased61

Unchanged2

Decreased112

Sold Out99

Top 10 Stock Holdingstotal 26.09%
MSFT4.18

AMZN3.14

BABA2.6

FB2.48

UNH2.46

 
JNJ2.45

V2.38

HON2.16

CSX2.14

AEM2.1

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
MSFT
4.18%
COM
AMZN
3.14%
COM
BABA
2.6%
SPONSORED ADS
FB
2.48%
CL A
UNH
2.46%
COM
JNJ
2.45%
COM
V
2.38%
COM CL A
HON
2.16%
COM
CSX
2.14%
COM
AEM
2.1%
COM
PEP
2.05%
COM
ABT
2.01%
COM
GOOG
1.95%
CAP STK CL C
SYK
1.94%
COM
PG
1.93%
COM
DHR
1.79%
COM
BAC
1.76%
COM
NICE
1.74%
SPONSORED ADR
CTAS
1.66%
COM
PYPL
1.65%
COM
TMUS
1.5%
COM
EOG
1.41%
COM
APO
1.37%
CL A SHS
ICLR
1.32%
SHS
LMT
1.32%
COM
MRK
1.25%
COM
CRM
1.22%
COM
BRK.B
1.21%
CL B NEW
AAPL
1.2%
COM
NTR
1.16%
COM
HLT
1.12%
WHEN ISSUED
IR
1.12%
SHS
CBG
1.09%
CL A
MDLZ
1.08%
CL A
ALL
1.08%
COM
HD
1.07%
COM
CMCSA
1.04%
CL A
NOMD
1.04%
USD ORD SHS
ANET
1.03%
COM
PAYC
0.99%
COM
PANW
0.96%
COM
RTN
0.83%
COM NEW
CNP
0.79%
COM
NBIX
0.79%
COM
LVS
0.75%
COM
ARCC
0.69%
COM
NRG
0.63%
COM NEW
BAP
0.59%
COM
LII
0.58%
COM
LYB
0.56%
SHS - A -
ISRG
0.56%
COM NEW
FSIC
0.56%
COM
COP
0.55%
COM
ANTM
0.53%
COM
PGR
0.53%
COM
NOC
0.52%
COM
MSCI
0.48%
COM
EVR
0.46%
CLASS A
WNS
0.44%
SPON ADR
MOMO
0.43%
ADR
TTD
0.43%
CL A
HUM
0.42%
COM
MAIN
0.4%
COM
MTD
0.39%
COM
IDXX
0.37%
COM
TD
0.37%
COM NEW
NXPI
0.36%
COM
ROKU
0.36%
CL A
APD
0.36%
COM
VAR
0.36%
COM
INFY
0.36%
SPONSORED ADR
WCG
0.36%
COM
PSEC
0.35%
COM
ROP
0.35%
COM
ACN
0.35%
SHS CLASS A
BRKR
0.34%
COM
PRFT
0.34%
COM
IT
0.33%
COM
MMS
0.33%
COM
MMSI
0.32%
COM
SE
0.32%
ADR
JPM
0.31%
COM
APTV
0.31%
SHS
SLRC
0.3%
COM
ETSY
0.29%
COM
HTGC
0.27%
COM
RTRX
0.26%
COM
EBS
0.26%
COM
CVLT
0.24%
COM
GBDC
0.24%
COM
TSLX
0.24%
COM
NMFC
0.23%
COM
NEWT
0.22%
COM NEW
MASI
0.22%
COM
GSBD
0.22%
SHS
CGBD
0.22%
COM
HSTM
0.2%
COM
MA
0.18%
CL A
TCPC
0.18%
COM
AMLP
0.18%
ALERIAN MLP
AINV
0.18%
COM NEW
HDB
0.16%
ADR REPS 3 SHS
YUMC
0.16%
COM
BBDC
0.16%
COM
NFLX
0.15%
COM
UNP
0.15%
COM
CG
0.15%
COM UTS LTD PTN
AZN
0.13%
SPONSORED ADR
OCSL
0.13%
COM
CHE
0.13%
COM
PNNT
0.13%
COM
WST
0.13%
COM
CERN
0.13%
COM
WM
0.12%
COM
CVI
0.12%
COM
RDS/A
0.11%
SPONS ADR A
IEP
0.11%
DEPOSITARY UNIT
DEO
0.11%
SPON ADR NEW
AZO
0.11%
COM
INTU
0.11%
COM
BX
0.1%
COM UNIT LTD
OHI
0.1%
COM
T
0.1%
COM
MDT
0.1%
SHS
BA
0.1%
COM
SBUX
0.1%
COM
RCL
0.1%
COM
OAK
0.1%
UNIT 99/99/9999
BP
0.1%
SPONSORED ADR
HCKT
0.09%
COM
NRZ
0.09%
COM NEW
MMP
0.09%
COM UNIT RP LP
EVA
0.09%
COM UNIT
GLAD
0.09%
COM
TSCO
0.09%
COM
MRCC
0.09%
COM
KKR
0.09%
CL A
AB
0.08%
UNIT LTD PARTN
CODI
0.08%
SH BEN INT
PFLT
0.08%
COM
FUN
0.08%
DEPOSITRY UNIT
UTF
0.08%
COM
EPD
0.08%
COM
TOT
0.07%
SPONSORED ADR
KDP
0.07%
COM
OFS
0.07%
COM
PUK
0.07%
ADR
KNOP
0.07%
COM UNITS
CNI
0.07%
COM
BBL
0.06%
SPONSORED ADR
SU
0.06%
COM
TSM
0.06%
SPONSORED ADR
GLPI
0.06%
COM
FDUS
0.06%
COM
MLCO
0.06%
ADR
GIB
0.06%
CL A SUB VTG
CVA
0.06%
COM
PHG
0.06%
NY REG SH NEW
GLOB
0.06%
COM
NVS
0.06%
SPONSORED ADR
PACW
0.06%
COM
SAR
0.05%
COM NEW
VZ
0.05%
COM
AZUL
0.05%
SPONSR ADR PFD
AVGO
0.05%
COM
IVR
0.05%
COM
GEL
0.05%
UNIT LTD PARTN
DOC
0.05%
COM
LAZ
0.05%
SHS A
UN
0.05%
N Y SHS NEW
APU
0.05%
UNIT L P INT
LOGI
0.05%
SHS
CIG
0.04%
SP ADR N-V PFD
TECH
0.04%
COM
TMO
0.04%
COM
ABC
0.04%
COM
SNE
0.04%
ADR NEW
CBD
0.04%
SPN ADR PFD CL A
HPT
0.04%
COM SH BEN INT
STM
0.04%
NY REGISTRY
TAL
0.04%
ADS REPSTG COM
NSP
0.04%
COM
SPGI
0.03%
COM
AM
0.03%
COM
ZEN
0.03%
COM
TXN
0.03%
COM
RACE
0.03%
COM
CASY
0.03%
COM
ADBE
0.03%
COM
BIDU
0.03%
SPON ADR REP A
VRSN
0.03%
COM
HCM
0.03%
SPONSORED ADR
ASML
0.02%
N Y REGISTRY SHS
MELI
0.02%
COM
GMED
0.02%
CL A
ZTS
0.02%
CL A
BBD
0.02%
SP ADR PFD NEW
MCD
0.02%
COM
GOOGL
0.02%
CAP STK CL A
IQV
0.02%
COM
AMGN
0.02%
COM
DE
0.02%
COM
LIN
0.02%
COM
IEX
0.02%
COM
FTV
0.01%
COM
AWK
0.01%
COM
ROK
0.01%
COM
KGC
0.01%
COM NO PAR
PTN
< 0.01%
COM PAR $ .01
AXAS
< 0.01%
COM
GOOS
1.49%
SHS SUB VTG
HII
0.84%
COM
PENN
0.56%
COM
JD
0.03%
SPON ADR CL A
NVDA
0.03%
COM
BLUE
0.03%
COM
HPQ
0.03%
COM
QLYS
0.02%
COM
TXT
0.02%
COM
FN
0.02%
SHS
SYY
0.02%
COM
WYNN
0.02%
COM
EMN
0.02%
COM
MMM
0.02%
COM
TEF
0.02%
SPONSORED ADR
ENTG
0.01%
COM
STLD
0.01%
COM
ATHM
0.01%
SP ADR RP CL A
ECL
0.01%
COM
VMW
0.01%
CL A COM
FIX
0.01%
COM
CMI
0.01%
COM
HXL
0.01%
COM
DCI
0.01%
COM
PWR
0.01%
COM
MKSI
0.01%
COM
EVTC
0.01%
COM
CCMP
0.01%
COM
EPAM
0.01%
COM
FIVE
0.01%
COM
PLNT
0.01%
CL A
BEAT
0.01%
COM
MTZ
0.01%
COM
BCOR
0.01%
COM
TNET
0.01%
COM
HUBS
< 0.01%
COM
ESNT
< 0.01%
COM
ENV
< 0.01%
COM
AVY
< 0.01%
COM
MC
< 0.01%
CL A
VYM
< 0.01%
HIGH DIV YLD
AZPN
< 0.01%
COM
FOXF
< 0.01%
COM
AHS
< 0.01%
COM
TRHC
< 0.01%
COM
LXFR
< 0.01%
SHS
BIIB
< 0.01%
COM
HEES
< 0.01%
COM
RAVN
< 0.01%
COM
PRAH
< 0.01%
COM
ENVA
< 0.01%
COM
SGEN
< 0.01%
COM
NTB
< 0.01%
SHS NEW
BRSS
< 0.01%
COM
CHDN
< 0.01%
COM
BRKS
< 0.01%
COM
FIVN
< 0.01%
COM
RGNX
< 0.01%
COM
GWPH
< 0.01%
ADS
MCFT
< 0.01%
COM
MBUU
< 0.01%
CL A
HSC
< 0.01%
COM
AJRD
< 0.01%
COM
RMR
< 0.01%
CL A
TPIC
< 0.01%
COM
SRI
< 0.01%
COM
TCMD
< 0.01%
COM
SAGE
< 0.01%
COM
CLF
< 0.01%
COM
URGN
< 0.01%
COM
TREX
< 0.01%
COM
LPX
< 0.01%
COM
RYAM
< 0.01%
COM
SAIA
< 0.01%
COM
LHCG
< 0.01%
COM
AEO
< 0.01%
COM
SUPN
< 0.01%
COM
TSC
< 0.01%
COM
MNST
< 0.01%
COM
SEDG
< 0.01%
COM
FL
< 0.01%
COM
RGEN
< 0.01%
COM
OSBC
< 0.01%
COM
CSTM
< 0.01%
CL A
ERF
< 0.01%
COM
OAS
< 0.01%
COM
RTEC
< 0.01%
COM
KNX
< 0.01%
CL A
IWF
< 0.01%
RUS 1000 GRW ETF
OEC
< 0.01%
COM
SGMO
< 0.01%
COM
TVTY
< 0.01%
COM
FOLD
< 0.01%
COM
VIAV
< 0.01%
COM
EGRX
< 0.01%
COM
TSEM
< 0.01%
SHS NEW
IWO
< 0.01%
RUS 2000 GRW ETF
BAX
< 0.01%
COM
BAK
< 0.01%
SP ADR PFD A