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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

FRIESS ASSOCIATES LLC INSTITUTION : FRIESS ASSOCIATES LLC
FRIESS ASSOCIATES LLC Portfolio (reported on 2020-02-14)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
Global Payments Inc.    (COM) GPN 37,778,000 206,932 2.62%
Advanced Micro Devices Inc.    (COM) AMD 37,483,000 817,333 2.60%
Tandem Diabetes Care Inc.    (COM) 37,389,000 627,225 2.60%
The Walt Disney Co.    (COM) DIS 34,333,000 237,388 2.38%
Exact Sciences Corp.    (COM) EXAS 33,302,000 360,100 2.31%
Amazon.com Inc.    (COM) AMZN 30,999,000 16,776 2.15%
Booz Allen Hamilton Holding Co    (COM) BAH 30,566,000 429,722 2.12%
Visa Inc.    (COM) V 29,117,000 154,961 2.02%
Deckers Outdoor Corp.    (COM) DECK 27,274,000 161,519 1.89%
Domino's Pizza Inc.    (COM) DPZ 25,694,000 87,460 1.78%
Charter Communications Inc.    (COM) CHTR 25,663,000 52,904 1.78%
Mastercard Inc.    (COM) MA 25,563,000 85,611 1.77%
Scorpio Tankers Inc.    (COM) 24,840,000 631,424 1.72%
Fiserv Inc.    (COM) FISV 24,569,000 212,479 1.71%
Kellogg Co.    (COM) K 24,339,000 351,930 1.69%
Ceridian HCM Holding Inc.    (COM) 23,798,000 350,583 1.65%
Abbott Laboratories    (COM) ABT 23,348,000 268,806 1.62%
Electronic Arts Inc.    (COM) ERTS 23,242,000 216,182 1.61%
eHealth Inc.    (COM) EHTH 23,028,000 239,678 1.60%
Taylor Morrison Home Corp.    (COM) TMHC 22,762,000 1,041,245 1.58%
Keysight Technologies Inc.    (COM) KEYS 22,676,000 220,946 1.57%
Fidelity National Financial In    (COM) FNF 22,222,000 490,014 1.54%
The TJX Cos. Inc.    (COM) TJX 21,721,000 355,732 1.51%
VF Corp.    (COM) VFC 21,708,000 217,816 1.51%
Costco Wholesale Corp.    (COM) COST 21,488,000 73,110 1.49%
O'Reilly Automotive Inc.    (COM) ORLY 21,372,000 48,765 1.48%
YETI Holdings Inc.    (COM) 21,173,000 608,757 1.47%
AstraZeneca PLC Spons ADR    (COM) AZN 20,841,000 418,000 1.45%
IQVIA Holdings Inc.    (COM) 20,605,000 133,358 1.43%
Tyson Foods Inc.    (COM) TSN 20,533,000 225,541 1.42%
Lumentum Holdings Inc.    (COM) 20,529,000 258,879 1.42%
Verra Mobility Corp.    (COM) 20,306,000 1,451,450 1.41%
Adobe Inc.    (COM) ADBE 19,602,000 59,434 1.36%
The Trade Desk Inc.    (COM) 19,570,000 75,332 1.36%
Church & Dwight Co. Inc.    (COM) CHD 19,472,000 276,825 1.35%
MasTec Inc.    (COM) MTZ 19,405,000 302,443 1.35%
Tempur Sealy International Inc    (COM) TPX 19,241,000 221,005 1.33%
Maxim Integrated Products Inc.    (COM) MXIM 19,191,000 312,000 1.33%
Zimmer Biomet Holdings Inc.    (COM) ZMH 19,084,000 127,500 1.32%
Diodes Inc.    (COM) DIOD 18,548,000 329,033 1.29%
The Simply Good Foods Co.    (COM) 18,052,000 632,500 1.25%
R1 RCM Inc.    (COM) 17,964,000 1,383,991 1.25%
HEICO Corp.    (COM) HEI 17,482,000 153,150 1.21%
Booking Holdings Inc.    (COM) 17,225,000 8,387 1.19%
CME Group Inc.    (COM) CME 17,077,000 85,077 1.18%
Salesforce.com Inc.    (COM) CRM 16,309,000 100,275 1.13%
Thermo Fisher Scientific Inc.    (COM) TMO 15,605,000 48,034 1.08%
LHC Group Inc.    (COM) LHCG 15,131,000 109,839 1.05%
BMC Stock Holdings Inc.    (COM) 14,919,000 520,000 1.03%
Addus HomeCare Corp.    (COM) ADUS 14,243,000 146,502 0.99%
PRA Health Sciences Inc.    (COM) PRAH 13,070,000 117,585 0.90%
NuVasive Inc.    (COM) NUVA 12,506,000 161,705 0.87%
Illumina Inc.    (COM) ILMN 11,558,000 34,842 0.80%
Harsco Corp.    (COM) HSC 10,937,000 475,315 0.76%
Crocs Inc.    (COM) CROX 10,378,000 247,736 0.72%
Vertex Pharmaceuticals Inc.    (COM) VRTX 10,083,000 46,053 0.70%
Ball Corp.    (COM) BLL 9,804,000 151,600 0.68%
DHT Holdings Inc.    (COM) DHT 9,317,000 1,125,294 0.64%
KBR Inc.    (COM) KBR 8,997,000 295,000 0.62%
Boot Barn Holdings Inc.    (COM) BOOT 8,020,000 180,099 0.55%
Smartsheet Inc.    (COM) 8,015,000 178,422 0.55%
The Estee Lauder Cos. Inc.    (COM) EL 7,954,000 38,513 0.55%
Invitation Homes Inc.    (COM) 7,492,000 250,000 0.52%
America's Car-Mart Inc.    (COM) CRMT 7,124,000 64,967 0.49%
Silicon Motion Technology Corp    (COM) SIMO 6,846,000 135,000 0.47%
Health Catalyst Inc.    (COM) 6,831,000 196,856 0.47%
Napco Security Technologies In    (COM) NSSC 6,519,000 221,798 0.45%
Impinj Inc.    (COM) 6,491,000 251,000 0.45%
Calix Inc.    (COM) CALX 6,297,000 787,070 0.43%
Oxford Immunotec Global PLC    (COM) OXFD 6,287,000 378,734 0.43%
Limelight Networks Inc.    (COM) LLNW 5,933,000 1,454,235 0.41%
Hostess Brands Inc.    (COM) 5,707,000 392,484 0.39%
McGrath RentCorp    (COM) MGRC 5,607,000 73,259 0.39%
Papa John's International Inc.    (COM) PZZA 5,593,000 88,574 0.38%
EverQuote Inc.    (COM) 5,582,000 162,496 0.38%
Cryoport Inc.    (COM) 5,236,000 318,084 0.36%
Quidel Corp.    (COM) QDEL 5,148,000 68,612 0.35%
Kornit Digital Ltd.    (COM) 5,119,000 149,547 0.35%
Upland Software Inc.    (COM) UPLD 5,079,000 142,240 0.35%
EVO Payments Inc.    (COM) 5,057,000 191,495 0.35%
Digital Turbine Inc.    (COM) APPS 4,971,000 697,195 0.34%
Zumiez Inc.    (COM) ZUMZ 4,928,000 142,684 0.34%
Phreesia Inc.    (COM) 4,822,000 181,000 0.33%
Medtronic PLC    (COM) MDT 4,818,000 42,470 0.33%
OrthoPediatrics Corp.    (COM) 4,330,000 92,140 0.30%
BioMarin Pharmaceutical Inc.    (COM) BMRN 3,948,000 46,700 0.27%
Ooma Inc.    (COM) 3,918,000 296,163 0.27%
LeMaitre Vascular Inc.    (COM) LMAT 3,509,000 97,598 0.24%
H&E Equipment Services Inc.    (COM) HEES 3,483,000 104,189 0.24%
Tecnoglass Inc.    (COM) TGLS 2,967,000 359,682 0.20%
Heritage Crystal Clean Inc.    (COM) HCCI 2,668,000 85,045 0.18%
Adesto Technologies Corp.    (COM) 2,413,000 283,873 0.16%
Axcelis Technologies Inc.    (COM) 2,124,000 88,170 0.14%
GrowGeneration Corp.    (COM) 2,102,000 512,604 0.14%
Northwest Pipe Co.    (COM) NWPX 2,082,000 62,500 0.14%
Rocky Brands Inc.    (COM) RCKY 2,044,000 69,461 0.14%
HyreCar Inc.    (COM) 1,909,000 725,751 0.13%
Akoustis Technologies    (COM) 1,831,000 228,843 0.12%
Era Group Inc.    (COM) ERA 1,775,000 174,528 0.12%
Telaria Inc.    (COM) 1,662,000 188,683 0.11%
Semler Scientific Inc.    (COM) SMLR 1,512,000 31,500 0.10%
Smith Micro Software Inc.    (COM) 1,222,000 306,922 0.08%
MarineMax Inc.    (COM) HZO 1,085,000 65,000 0.07%
The Joint Corp.    (COM) JYNT 1,060,000 65,674 0.07%
MicroVision Inc.    (COM) MVIS 940,000 1,305,499 0.06%
Chicken Soup For The Soul    (COM) 921,000 115,131 0.06%
Superior Drilling Products Inc    (COM) SDPI 657,000 801,211 0.04%
Total Value As 2019-12-31: 1,436,669,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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