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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
13
2
12
2
3
1
31
15
40
OAK RIDGE INVESTMENTS LLC

Time Period2018-12-31

Total Holdings167

Total Value ($x1000)1,389,373
Activities
New12

Increased6

Unchanged6

Decreased143

Sold Out6

Top 10 Stock Holdingstotal 22.26%
AAPL2.85

MSFT2.83

EPAM2.72

AMZN2.35

GMED2.23

 
LGND1.95

OMCL1.92

WCN1.84

BURL1.8

UNH1.77

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
AAPL
2.85%
COM
MSFT
2.83%
COM
EPAM
2.72%
COM
AMZN
2.35%
COM
GMED
2.23%
CL A
LGND
1.95%
COM NEW
OMCL
1.92%
COM
WCN
1.84%
COM
BURL
1.8%
COM
UNH
1.77%
COM
POOL
1.75%
COM
V
1.63%
COM CL A
SAGE
1.6%
COM
FIVE
1.5%
COM
OAKRIDGE...
1.45%
MF
GOOGL
1.38%
CAP STK CL A
WEX
1.37%
COM
GOOG
1.37%
CAP STK CL C
OLLI
1.34%
COM
EEFT
1.23%
COM
WSO
1.17%
COM
BFAM
1.16%
COM
ROST
1.15%
COM
IDTI
1.13%
COM
COST
1.09%
COM
ULTA
1.08%
COM
LFUS
1.05%
COM
SYK
1.04%
COM
LLY
1.02%
COM
ENV
1%
COM
AEO
0.95%
COM
OAK RIDG...
0.94%
MF
ADSW
0.94%
COM
ECL
0.93%
COM
ICE
0.92%
COM
NOMD
0.89%
USD ORD SHS
ASGN
0.88%
COM
AOS
0.87%
COM
DSGX
0.84%
COM
ITW
0.82%
COM
SFM
0.82%
COM
WIX
0.81%
SHS
ANSS
0.81%
COM
LKQ
0.81%
COM
MSGN
0.8%
CL A
CRM
0.77%
COM
DHR
0.76%
COM
YUM
0.76%
COM
AME
0.75%
COM
OAKRIDGE...
0.75%
MF
KO
0.74%
COM
FB
0.73%
CL A
VFC
0.73%
COM
IWO
0.71%
RUS 2000 GRW ETF
BECN
0.7%
COM
ACHC
0.7%
COM
VRSK
0.69%
CL A
TDG
0.68%
COM
DLTH
0.67%
COM CL B
PODD
0.66%
COM
CMCSA
0.65%
CL A
ABMD
0.65%
COM
SAIA
0.64%
COM
FTV
0.63%
COM
TRNO
0.61%
COM
PNFP
0.6%
COM
PCRX
0.59%
COM
ABBV
0.57%
COM
HZNP
0.56%
SHS
GDOT
0.55%
CL A
SLAB
0.55%
COM
CTSH
0.54%
CL A
FTNT
0.53%
COM
PYPL
0.5%
COM
PRFT
0.5%
COM
OAKRIDGE...
0.49%
MF
XPO
0.48%
COM
ALXN
0.48%
COM
SITE
0.47%
COM
FIS
0.46%
COM
RTRX
0.46%
COM
PRAA
0.46%
COM
EVH
0.46%
CL A
ABCB
0.46%
COM
MIME
0.46%
ORD SHS
NEWR
0.45%
COM
UL
0.45%
SPON ADR NEW
VXF
0.44%
EXTEND MKT ETF
NFLX
0.44%
COM
EPAY
0.43%
COM
PRTY
0.41%
COM
WBT
0.41%
COM
MTDR
0.41%
COM
AVGO
0.41%
COM
CDXS
0.41%
COM
QTNA
0.39%
COM
CORT
0.37%
COM
SRPT
0.36%
COM
SUPN
0.35%
COM
KLAC
0.35%
COM
CBM
0.33%
COM
ELF
0.33%
COM
IWZ
0.33%
RUS 3000 GRW ETF
HOMB
0.32%
COM
IT
0.31%
COM
EOG
0.31%
COM
ARWR
0.3%
COM
PEN
0.29%
COM
GPN
0.26%
COM
FISV
0.26%
COM
LITE
0.25%
COM
TFX
0.23%
COM
TRU
0.22%
COM
LII
0.22%
COM
TWOU
0.22%
COM
DNKN
0.22%
COM
CCE
0.22%
SHS
CDW
0.2%
COM
TTWO
0.2%
COM
APH
0.19%
CL A
ULTI
0.18%
COM
HLT
0.18%
WHEN ISSUED
COO
0.18%
COM NEW
BRAMSHIL...
0.18%
MF
STZ
0.17%
CL A
INCY
0.16%
COM
SSNC
0.16%
COM
FANG
0.15%
COM
ODFL
0.15%
COM
PFPT
0.14%
COM
JBT
0.14%
COM
MRVL
0.14%
ORD
WAL
0.13%
COM
VMC
0.11%
COM
IWP
0.11%
RUS MD CP GR ETF
HD
0.11%
COM
BCO
0.1%
COM
QCOM
0.09%
COM
DXCM
0.08%
COM
CME
0.07%
COM
JPM
0.07%
COM
DIS
0.07%
COM DISNEY
MA
0.06%
CL A
SF
0.05%
COM
ADP
0.05%
COM
BLK
0.05%
COM
SHW
0.05%
COM
CSCO
0.05%
COM
WM
0.05%
COM
NVS
0.04%
SPONSORED ADR
SWK
0.04%
COM
BA
0.04%
COM
KMI
0.04%
COM
VZ
0.04%
COM
BDX
0.04%
COM
SCHW
0.03%
COM
WAVELENG...
0.03%
MF
BX
0.03%
COM UNIT LTD
PTC
0.03%
COM
CCL
0.03%
PAIRED CTF
CVX
0.03%
COM
IWF
0.03%
RUS 1000 GRW ETF
LIN
0.03%
COM
CMG
0.03%
COM
XOM
0.02%
COM
LJPC
0.02%
COM PAR $.0001 2
KHC
0.02%
COM
PLNT
1%
CL A
GRUB
0.56%
COM
DBVT
0.32%
SPONSORED ADR
ADMS
0.1%
COM
ADI
0.03%
COM
PX
0.02%
COM