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Latest AMI ASSET MANAGEMENT CORP Stock Portfolio

$1.96Billion

Equity Portfolio Value
Last Reported on: 19 Apr, 2024

About AMI ASSET MANAGEMENT CORP and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, AMI ASSET MANAGEMENT CORP reported an equity portfolio of $1.8 Billions as of 31 Dec, 2023.

The top stock holdings of AMI ASSET MANAGEMENT CORP are AAPL, MSFT, GOOG. The fund has invested 5.9% of it's portfolio in APPLE INC and 5.7% of portfolio in MICROSOFT CORP.

The fund managers got completely rid off ENVESTNET INC (ENV), VERINT SYSTEMS INC (VRNT) and I C U MEDICAL INC (ICUI) stocks. They significantly reduced their stock positions in ISHARES RUSSELL 2000 GROWTH ET (AGG), JOHNSON & JOHNSON (JNJ) and TELEFLEX INCORPORATE (TFX). AMI ASSET MANAGEMENT CORP opened new stock positions in COLGATE-PALMOLIVE CO (CL), SHOCKWAVE MEDICAL INC (SWAV) and ISHARES RUSSELL 2000 ETF (AGG). The fund showed a lot of confidence in some stocks as they added substantially to ISHARES RUSSELL 1000 GROWTH ET (AGG), VITA COCO CO INC (COCO) and P D F SOLUTIONS INC (PDFS).

New Buys

Ticker$ Bought
INSULET CORP37,211,000
NETFLIX INC35,510,700
SMARTSHEET INC CLASS A3,989,590
ARCUTIS BIOTHERAPEUTICS3,421,320
SOUTHERN CO849,186

New stocks bought by AMI ASSET MANAGEMENT CORP

Additions to existing portfolio by AMI ASSET MANAGEMENT CORP

Reductions

Ticker% Reduced
MFC ISHARES TR RUSSELL 1000 GR-93.52
B J S WHOLESALE CLUB HOL-51.28
CYBERARK SOFTWRE LTD F-46.22
CINTAS CORP-42.65
ITRON INC-36.74
ISHARES RUSSELL 2000 GROWTH ET-32.51
COSTCO WHOLESALE CO-28.78
ELI LILLY & CO-28.02

AMI ASSET MANAGEMENT CORP reduced stake in above stock

Sold off

Ticker$ Sold
XOMETRY INC CLASS A-3,490,630
TELEFLEX INCORPORATE-18,862,300
PERFICIENT INC-3,543,720
A S G N INC-2,678,230
ISHARES RUSSELL 2000 ETF-2,422,570
SPDR S&P DIVIDEND ETF-836,424
SCHWAB US DIVIDEND EQUITY ETF-349,741

AMI ASSET MANAGEMENT CORP got rid off the above stocks

Current Stock Holdings of AMI ASSET MANAGEMENT CORP

Last Reported on: 19 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC5.00570,02797,748,200ADDED2.44
ADBEADOBE INC2.3289,89645,361,400ADDED2.81
AGGMFC ISHARES TR RUSSELL 1000 GR0.1710,1543,422,410REDUCED-93.52
AGGISHARES RUSSELL 2000 GROWTH ET0.032,061558,092REDUCED-32.51
AGGISHARES RUSSELL 2000 ETF0.000.000.00SOLD OFF-100
AMZNAMAZON.COM INC3.92424,82076,629,000ADDED2.69
APDAIR PROD & CHEMICALS1.2298,79623,935,300ADDED12.78
APPFAPPFOLIO INC CLASS A0.1713,8593,419,510ADDED148
ARQTARCUTIS BIOTHERAPEUTICS0.17345,2393,421,320NEW
ASGNA S G N INC0.000.000.00SOLD OFF-100
AVGOBROADCOM INC0.068111,074,910REDUCED-3.91
BALLBALL CORP2.67775,83452,260,200ADDED52.21
BDXBECTON DICKINSON&CO2.97234,52558,033,200ADDED8.97
BFAMBRIGHT HORIZON FAM0.1627,9053,163,300REDUCED-3.1
BILSPDR S&P DIVIDEND ETF0.000.000.00SOLD OFF-100
BJB J S WHOLESALE CLUB HOL0.1026,6752,017,950REDUCED-51.28
BMRNBIOMARIN PHARMACEUTL1.54346,18930,236,100ADDED51.86
BRBROADRIDGE FINL SOLU0.032,639540,626REDUCED-3.62
CHDCHURCH & DWIGHT CO INC I3.12584,65860,985,700ADDED3.02
CLCOLGATE-PALMOLIVE CO1.93418,12637,652,300ADDED3.36
CNMDCONMED CORP0.2355,7284,462,730ADDED31.05
COCOVITA COCO CO INC0.22174,5024,263,070ADDED43.2
COSTCOSTCO WHOLESALE CO2.2760,55744,366,200REDUCED-28.78
CRMSALESFORCE INC3.76244,06173,506,400ADDED2.75
CTASCINTAS CORP2.0558,38440,111,500REDUCED-42.65
CVSCVS HEALTH CORP0.0613,5161,078,040ADDED0.15
CVXCHEVRON CORP0.066,8291,077,210ADDED2.6
CWSTCASELLA WASTE SYS CLASS A0.2039,4283,898,280ADDED22.19
CYBRCYBERARK SOFTWRE LTD F0.2115,7674,188,270REDUCED-46.22
DISWALT DISNEY CO0.012,303281,795UNCHANGED0.00
ELFE L F BEAUTY INC0.098,8301,730,950REDUCED-3.04
EXLSEXLSERVICE HOLDINGS0.24150,1804,775,710ADDED8.74
FNDASCHWAB US DIVIDEND EQUITY ETF0.000.000.00SOLD OFF-100
GOOGALPHABET INC. CLASS A4.46577,78387,204,700ADDED2.59
GXOGXO LOGISTICS INC0.2278,3044,209,610REDUCED-4.52
HALOHALOZYME THERAPEUTIC0.29137,3905,589,010REDUCED-3.96
HDHOME DEPOT INC0.073,6731,408,960ADDED3.93
INTCINTEL CORP0.016,750298,147UNCHANGED0.00
ITRIITRON INC0.1838,8703,596,270REDUCED-36.74
JNJJOHNSON & JOHNSON0.056,7351,065,410ADDED40.43
JPMJPMORGAN CHASE & CO0.098,9601,794,690REDUCED-3.17
LGNDLIGAND PHARMA0.1540,9312,992,080REDUCED-3.96
LHLAB CO OF AMER HLDG2.43217,69847,558,300ADDED3.00
LLYELI LILLY & CO2.9273,49257,173,700REDUCED-28.02
MAMASTERCARD INC CLASS A2.2490,98943,817,700ADDED2.51
MCDMCDONALDS CORP0.053,7161,047,730REDUCED-4.18
MDGLMADRIGAL PHARMACEUTICALS0.139,6182,568,480ADDED101
MDLZMONDELEZ INTL CLASS A0.0412,408868,560REDUCED-3.47
MKCMC CORMICK & CO INC1.58402,54930,919,800ADDED7.31
MMSIMERIT MED SYS INC0.2665,7614,981,380REDUCED-4.67
MRKMERCK & CO. INC.0.068,4811,119,070REDUCED-3.5
MSFTMICROSOFT CORP6.13285,082119,940,000ADDED2.62
NEOGNEOGEN CORP0.22274,7824,336,060ADDED8.06
NFLXNETFLIX INC1.8158,47035,510,700NEW
NKENIKE INC CLASS B1.26263,12124,728,100ADDED2.57
PANWPALO ALTO NETWORKS2.18150,43442,742,900ADDED2.71
PDPAGERDUTY INC0.17149,9423,400,690REDUCED-4.27
PDFSP D F SOLUTIONS INC0.18104,4953,518,350REDUCED-4.13
PEPPEPSICO INC2.71302,48152,937,200ADDED2.41
PGPROCTER & GAMBLE0.055,513894,484REDUCED-3.48
PODDINSULET CORP1.90217,10037,211,000NEW
PRFTPERFICIENT INC0.000.000.00SOLD OFF-100
PWRQUANTA SERVICES INC4.07306,33379,585,200ADDED0.85
PWSCPOWERSCHOOL HLDGS INC CLASS A0.20183,5263,907,270REDUCED-18.32
QCOMQUALCOMM INC0.088,7851,487,300REDUCED-3.47
ROPROPER TECHNOLOGIES1.8263,49435,610,000ADDED0.03
SBUXSTARBUCKS CORP1.71365,29233,384,100ADDED2.84
SCHWCHARLES SCHWAB CORP4.101,109,91080,290,800ADDED7.47
SITESITEONE LANDSCAPE SUPPLY0.1820,2923,541,890REDUCED-25.51
SMARSMARTSHEET INC CLASS A0.20103,6263,989,590NEW
SMPLSIMPLY GOOD FOODS CO00500.19106,7823,633,810REDUCED-4.96
SNPSSYNOPSYS INC1.9867,74438,715,600ADDED2.72
SOSOUTHERN CO0.0411,837849,186NEW
SPSCSPS COMM INC0.1818,6413,446,720ADDED19.69
STZCONSTELLATION BRAND CLASS A2.43174,85647,518,800ADDED3.18
SWAVSHOCKWAVE MEDICAL INC0.2816,9445,517,450REDUCED-21.1
TENBTENABLE HOLDINGS INC0.2597,2404,806,560REDUCED-4.42
TFXTELEFLEX INCORPORATE0.000.000.00SOLD OFF-100
ULTAULTA BEAUTY INC.2.79104,19654,481,900ADDED3.06
UTZUTZ BRANDS INC CLASS A0.20208,4653,844,100ADDED7.34
VCYTVERACYTE INC0.23203,7234,514,510ADDED7.16
VRRMVERRA MOBILITY CORP CLASS A0.1188,6532,213,670REDUCED-4.84
WDAYWORKDAY INC CLASS A2.26162,09344,210,900ADDED54.13
WMWASTE MANAGEMENT INC3.17291,41562,115,100ADDED0.18
WSCWILLSCOT MOBILE MINI HLD CLASS0.2190,1164,190,410REDUCED-4.16
WSTWEST PHARM SRVC INC3.33164,73865,188,400ADDED3.27
XMTRXOMETRY INC CLASS A0.000.000.00SOLD OFF-100
ZTSZOETIS INC CLASS A3.15364,83361,733,400ADDED2.47