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STOCK TICKER:

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

SILVERCREST ASSET MANAGEMENT GROUP LLC INSTITUTION : SILVERCREST ASSET MANAGEMENT GROUP LLC
SILVERCREST ASSET MANAGEMENT GROUP LLC Portfolio (reported on 2019-11-14)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
IBERIABANK CORP COM    (COM) IBKC 199,297,000 2,638,302 1.64%
CISCO SYS INC COM    (COM) CSCO 186,892,000 3,782,470 1.54%
MICROSOFT CORP COM    (COM) MSFT 178,992,000 1,287,436 1.47%
BANCORPSOUTH BK TUPELO MISS CO    (COM) 162,455,000 5,486,484 1.33%
ABBOTT LABS COM    (COM) ABT 149,198,000 1,783,169 1.23%
PEBBLEBROOK HOTEL TR COM    (COM) PEB 139,430,000 5,011,868 1.14%
TEXAS INSTRS INC COM    (COM) TXN 123,722,000 957,305 1.02%
HOME DEPOT INC COM    (COM) HD 117,100,000 504,699 0.96%
INDEPENDENT BANK CORP MASS COM    (COM) INDB 114,784,000 1,537,623 0.94%
QTS RLTY TR INC COM CL A    (COM) QTS 114,636,000 2,229,834 0.94%
AMETEK INC NEW COM    (COM) AME 112,283,000 1,222,852 0.92%
L3HARRIS TECHNOLOGIES INC COM    (COM) 111,231,000 533,127 0.91%
BROOKS AUTOMATION INC COM    (COM) BRKS 110,150,000 2,974,637 0.90%
PACWEST BANCORP DEL COM    (COM) PACW 110,127,000 3,030,454 0.90%
PROCTER AND GAMBLE CO COM    (COM) PG 110,071,000 884,962 0.90%
CITIGROUP INC COM NEW    (COM) C 108,668,000 1,573,075 0.89%
SYNNEX CORP COM    (COM) SNX 105,737,000 936,559 0.87%
SELECTIVE INS GROUP INC COM    (COM) SIGI 105,544,000 1,403,708 0.87%
STRYKER CORP COM    (COM) SYK 101,988,000 471,514 0.84%
CVS HEALTH CORP COM    (COM) CVS 101,299,000 1,606,145 0.83%
MKS INSTRUMENT INC COM    (COM) MKSI 99,770,000 1,081,178 0.82%
EASTGROUP PPTY INC COM    (COM) EGP 98,892,000 791,015 0.81%
MARSH & MCLENNAN COS INC COM    (COM) MMC 98,256,000 982,062 0.81%
VERIZON COMMUNICATIONS INC COM    (COM) VZ 96,898,000 1,605,331 0.79%
ATMOS ENERGY CORP COM    (COM) ATO 96,061,000 843,461 0.79%
HORACE MANN EDUCATORS CORP NEW    (COM) HMN 95,882,000 2,069,535 0.79%
ALPHABET INC CAP STK CL C    (COM) GOOG 95,832,000 78,615 0.79%
ONE GAS INC COM    (COM) OGS 95,158,000 990,106 0.78%
FULLER H B CO COM    (COM) FUL 94,422,000 2,027,980 0.77%
ALTRA INDL MOTION CORP COM    (COM) AIMC 93,072,000 3,360,631 0.76%
TARGET CORP COM    (COM) TGT 91,758,000 858,274 0.75%
WILLIAMS COS INC DEL COM    (COM) WMB 91,452,000 3,801,013 0.75%
FIDELITY NATL INFORMATION SVCS    (COM) FIS 90,226,000 679,614 0.74%
COMMVAULT SYSTEMS INC COM    (COM) CVLT 90,101,000 2,015,241 0.74%
AGILENT TECHNOLOGIES INC COM    (COM) A 89,346,000 1,165,933 0.73%
JOHNSON & JOHNSON COM    (COM) JNJ 86,828,000 671,106 0.71%
GENERAL MLS INC COM    (COM) GIS 86,453,000 1,568,457 0.71%
GLACIER BANCORP INC NEW COM    (COM) GBCI 86,247,000 2,131,658 0.71%
CASELLA WASTE SYS INC CL A    (COM) CWST 86,192,000 2,007,255 0.71%
CHEVRON CORP NEW COM    (COM) CVX 85,247,000 718,780 0.70%
CVB FINL CORP COM    (COM) CVBF 85,080,000 4,076,687 0.70%
ESCO TECHNOLOGIES INC COM    (COM) ESE 84,513,000 1,062,261 0.69%
KNOLL INC COM NEW    (COM) KNL 83,654,000 3,299,958 0.68%
US ECOLOGY INC COM    (COM) ECOL 82,757,000 1,294,284 0.68%
LA Z BOY INC COM    (COM) LZB 81,856,000 2,436,896 0.67%
MATADOR RES CO COM    (COM) MTDR 81,665,000 4,940,354 0.67%
MONDELEZ INTL INC CL A    (COM) MDLZ 80,531,000 1,455,717 0.66%
MID AMER APT CMNTYS INC COM    (COM) MAA 79,246,000 609,538 0.65%
BRUNSWICK CORP COM    (COM) BC 79,105,000 1,517,748 0.65%
ACI WORLDWIDE INC COM    (COM) ACIW 78,900,000 2,518,733 0.65%
CINEMARK HOLDINGS INC COM    (COM) CNK 77,397,000 2,003,031 0.63%
LABORATORY CORP AMER HLDGS COM    (COM) LH 76,850,000 457,440 0.63%
ICF INTL INC COM    (COM) ICFI 75,372,000 892,295 0.62%
ISHARES TR    (RUS 1000 GRW ETF) IWF 74,670,000 467,771 0.61%
J & J SNACK FOODS CORP COM    (COM) JJSF 71,908,000 374,521 0.59%
UNION PAC CORP COM    (COM) UNP 71,297,000 440,161 0.58%
ALPHABET INC CAP STK CL A    (COM) GOOGL 70,954,000 58,104 0.58%
PEPSICO INC COM    (COM) PEP 70,691,000 515,619 0.58%
AMGEN INC COM    (COM) AMGN 70,313,000 363,356 0.57%
INTEGER HLDGS CORP COM    (COM) 70,024,000 926,738 0.57%
AMERIPRISE FINL INC COM    (COM) AMP 70,005,000 475,898 0.57%
SYNOVUS FINL CORP COM NEW    (COM) SNV 69,328,000 1,938,705 0.57%
WOLVERINE WORLD WIDE INC COM    (COM) WWW 68,438,000 2,421,729 0.56%
PLEXUS CORP COM    (COM) PLXS 67,931,000 1,086,719 0.56%
BLACKROCK INC COM    (COM) BLK 67,370,000 151,176 0.55%
PHYSICIANS RLTY TR COM    (COM) DOC 66,930,000 3,770,751 0.55%
FORWARD AIR CORP COM    (COM) FWRD 65,687,000 1,030,879 0.54%
FIDELITY NATIONAL FINANCIAL IN    (COM) FNF 64,255,000 1,446,869 0.52%
METHODE ELECTRS INC COM    (COM) MEI 63,545,000 1,888,995 0.52%
AMN HEALTHCARE SERVICES INC CO    (COM) AHS 61,970,000 1,076,604 0.51%
EOG RES INC COM    (COM) EOG 60,852,000 819,885 0.50%
AMERICAN WTR WKS CO INC NEW CO    (COM) AWK 60,593,000 487,749 0.49%
SOUTH ST CORP COM    (COM) SSB 60,511,000 803,594 0.49%
BMC STK HLDGS INC COM    (COM) 60,356,000 2,305,425 0.49%
PNC FINL SVCS GROUP INC COM    (COM) PNC 58,937,000 420,494 0.48%
PFIZER INC COM    (COM) PFE 57,084,000 1,588,764 0.47%
WASTE CONNECTIONS INC COM    (COM) 56,364,000 612,648 0.46%
GIBRALTAR INDS INC COM    (COM) ROCK 56,357,000 1,226,754 0.46%
CARTERS INC COM    (COM) CRI 56,329,000 617,577 0.46%
OXFORD INDS INC COM    (COM) OXM 56,294,000 785,135 0.46%
NATUS MEDICAL INC COM    (COM) BABY 55,493,000 1,742,851 0.45%
MAGNOLIA OIL & GAS CORP CL A    (COM) 54,713,000 4,929,082 0.45%
F M C CORP COM NEW    (COM) FMC 54,216,000 618,333 0.44%
APPLE INC COM    (COM) AAPL 53,079,000 236,990 0.43%
DINE BRANDS GLOBAL INC COM    (COM) DIN 52,909,000 697,446 0.43%
EATON CORP PLC SHS    (COM) ETN 52,639,000 633,067 0.43%
LANCASTER COLONY CORP COM    (COM) LANC 52,491,000 378,590 0.43%
INTEL CORP COM    (COM) INTC 50,915,000 988,055 0.41%
VERRA MOBILITY CORP.    (COM) 50,807,000 3,540,543 0.41%
ICU MED INC COM    (COM) ICUI 50,697,000 317,648 0.41%
ALLSCRIPTS HEALTHCARE SOLUTNS    (COM) MDRX 50,428,000 4,592,703 0.41%
MINERALS TECHNOLOGIES INC COM    (COM) MTX 49,767,000 937,399 0.41%
INGREDION INC COM    (COM) INGR 49,287,000 602,970 0.40%
SEMTECH CORP COM    (COM) SMTC 46,683,000 960,344 0.38%
MGE ENERGY INC COM    (COM) MGEE 46,033,000 576,347 0.37%
DANA INCORPORATED COM    (COM) DAN 45,576,000 3,156,276 0.37%
ISHARES TR    (MSCI EAFE ETF) EFA 45,501,000 697,763 0.37%
CENTRAL GARDEN & PET CO CL A N    (COM) CENTA 43,946,000 1,585,064 0.36%
ROGERS CORP COM    (COM) ROG 43,757,000 320,071 0.36%
UNITED BANKSHARES INC WEST VA    (COM) UBSI 43,657,000 1,152,826 0.36%
STONERIDGE INC COM    (COM) SRI 42,510,000 1,372,623 0.35%
VANGUARD SCOTTSDALE FDS    (VNG RUS1000GRW) VONG 42,481,000 258,776 0.35%
GLATFELTER COM    (COM) GLT 42,341,000 2,751,205 0.34%
EMCOR GROUP INC COM    (COM) EME 42,173,000 489,698 0.34%
MEREDITH CORP COM    (COM) MDP 42,137,000 1,149,398 0.34%
TRANSUNION COM    (COM) 41,846,000 515,913 0.34%
SPDR SERIES TRUST    (S&P OILGAS EXP) XOP 41,375,000 1,850,419 0.34%
BORGWARNER INC COM    (COM) BWA 39,309,000 1,071,683 0.32%
EXXON MOBIL CORP COM    (COM) XOM 38,311,000 542,582 0.31%
LEGGETT & PLATT INC COM    (COM) LEG 38,242,000 934,100 0.31%
EMERSON ELEC CO COM    (COM) EMR 37,813,000 565,561 0.31%
VANGUARD INTL EQUITY INDEX F    (FTSE EMR MKT ETF) VWO 36,954,000 917,874 0.30%
LITTELFUSE INC COM    (COM) LFUS 36,622,000 206,542 0.30%
MERCK & CO INC NEW COM    (COM) MRK 36,457,000 433,089 0.30%
DUPONT DE NEMOURS INC COM    (COM) 35,510,000 497,960 0.29%
STANDEX INTL CORP COM    (COM) SXI 35,118,000 481,478 0.28%
ABM INDS INC COM    (COM) ABM 34,714,000 955,786 0.28%
HUNTINGTON BANCSHARES INC COM    (COM) HBAN 34,323,000 2,405,293 0.28%
STERIS PLC SHS USD    (COM) 34,006,000 235,354 0.28%
CALLON PETE CO DEL COM    (COM) CPE 33,853,000 7,800,235 0.27%
MCGRATH RENTCORP COM    (COM) MGRC 33,399,000 479,941 0.27%
BOEING CO COM    (COM) BA 32,632,000 85,766 0.26%
SONOCO PRODS CO COM    (COM) SON 31,123,000 534,674 0.25%
ALLEGION PUB LTD CO ORD SHS    (COM) ALLE 30,997,000 299,054 0.25%
XYLEM INC COM    (COM) XYL 30,514,000 383,243 0.25%
ROYAL DUTCH SHELL PLC SPON ADR    (COM) RDS-B 30,509,000 509,333 0.25%
CONCHO RES INC COM    (COM) CXO 26,543,000 390,901 0.21%
AVALARA INC COM    (COM) 25,470,000 378,513 0.21%
JPMORGAN CHASE & CO COM    (COM) JPM 24,839,000 211,052 0.20%
INTER PARFUMS INC COM    (COM) IPAR 24,656,000 352,375 0.20%
HALLIBURTON CO COM    (COM) HAL 24,567,000 1,303,325 0.20%
DOUGLAS DYNAMICS INC COM    (COM) PLOW 23,837,000 534,826 0.19%
BROADRIDGE FINL SOLUTIONS INC    (COM) BR 23,501,000 188,868 0.19%
GLAXOSMITHKLINE PLC SPONSORED    (COM) GSK 23,404,000 548,362 0.19%
CHART INDS INC COM PAR $0.01    (COM) GTLS 23,208,000 372,157 0.19%
SERVICE CORP INTL COM    (COM) SCI 23,062,000 482,364 0.19%
SELECT ENERGY SVCS INC CL A CO    (COM) 23,056,000 2,662,417 0.19%
KRATOS DEFENSE & SEC SOLUTIONS    (COM) KTOS 22,893,000 1,231,155 0.18%
FACEBOOK INC CL A    (COM) FB 22,436,000 125,987 0.18%
MADDEN STEVEN LTD COM    (COM) SHOO 22,353,000 624,566 0.18%
DISNEY WALT CO COM DISNEY    (COM) DIS 22,289,000 171,034 0.18%
OLLIES BARGAIN OUTLT HLDGS INC    (COM) 22,242,000 379,301 0.18%
DANAHER CORP DEL COM    (COM) DHR 21,733,000 150,473 0.17%
AMAZON COM INC COM    (COM) AMZN 20,923,000 12,053 0.17%
ISHARES TR    (RUS 2000 GRW ETF) IWO 20,922,000 108,554 0.17%
MUELLER WTR PRODS INC COM SER    (COM) MWA 20,665,000 1,838,441 0.17%
SANDERSON FARMS INC COM    (COM) SAFM 20,585,000 136,028 0.16%
APPIAN CORP CL A    (COM) 20,102,000 423,200 0.16%
ALTAIR ENGR INC COM CL A    (COM) 19,592,000 565,923 0.16%
VISA INC COM CL A    (COM) V 19,560,000 113,714 0.16%
J2 GLOBAL INC COM    (COM) JCOM 19,355,000 213,117 0.15%
BRINKS CO COM    (COM) BCO 19,294,000 232,597 0.15%
ARMADA HOFFLER PPTYS INC COM    (COM) AHH 19,262,000 1,064,781 0.15%
CACI INTL INC CL A    (COM) CAI 19,188,000 82,970 0.15%
ROSS STORES INC COM    (COM) ROST 18,950,000 172,506 0.15%
COCA COLA CO COM    (COM) KO 18,946,000 348,005 0.15%
BERKSHIRE HATHAWAY INC DEL CL    (COM) BRK/B 18,362,000 88,271 0.15%
CERNER CORP COM    (COM) CERN 18,089,000 265,343 0.14%
SIMPLY GOOD FOODS CO COM    (COM) 18,064,000 623,121 0.14%
INGEVITY CORP COM    (COM) 17,846,000 210,346 0.14%
CALAVO GROWERS INC COM    (COM) CVGW 17,795,000 186,962 0.14%
EPLUS INC COM    (COM) PLUS 17,652,000 231,995 0.14%
KINSALE CAP GROUP INC COM    (COM) KNSL 17,611,000 170,470 0.14%
SEALED AIR CORP NEW COM    (COM) SEE 17,559,000 423,004 0.14%
JAMES RIV GROUP LTD COM    (COM) JRVR 17,456,000 340,663 0.14%
MERCURY SYS INC COM    (COM) MRCY 17,395,000 214,303 0.14%
ARGO GROUP INTL HLDGS LTD COM    (COM) AGII 17,377,000 247,393 0.14%
EMERGENT BIOSOLUTIONS INC COM    (COM) EBS 17,021,000 325,578 0.14%
ROYAL DUTCH SHELL PLC SPONS AD    (COM) RDS.A 16,635,000 282,668 0.13%
NCR CORP NEW COM    (COM) NCR 16,502,000 522,871 0.13%
RADNET INC COM    (COM) RDNT 16,106,000 1,121,620 0.13%
RBC BEARINGS INC COM    (COM) ROLL 15,885,000 95,745 0.13%
PLURALSIGHT INC COM CL A    (COM) 15,851,000 943,820 0.13%
VISTEON CORP COM NEW    (COM) VSTO 15,698,000 190,182 0.12%
BERKSHIRE HATHAWAY INC DEL CL    (COM) BRK.A 15,592,000 50 0.12%
ISHARES TR    (RUS 1000 VAL ETF) IWD 15,421,000 120,227 0.12%
UNITED TECHNOLOGIES CORP COM    (COM) UTX 14,867,000 108,898 0.12%
COSTCO WHSL CORP NEW COM    (COM) COST 14,863,000 51,589 0.12%
MCDONALDS CORP COM    (COM) MCD 14,791,000 68,889 0.12%
PRA GROUP INC COM    (COM) PRAA 14,678,000 434,397 0.12%
EVOLENT HEALTH INC CL A    (COM) 14,672,000 2,040,585 0.12%
EXPONENT INC COM    (COM) EXPO 14,667,000 209,826 0.12%
ABBVIE INC COM    (COM) ABBV 14,647,000 193,428 0.12%
NESTLE S A SPONSORED ADR    (COM) NSRGY 14,593,000 134,618 0.12%
RUSH ENTERPRISES INC CL A    (COM) RUSHA 14,387,000 372,910 0.11%
TACTILE SYS TECHNOLOGY INC COM    (COM) 13,729,000 324,408 0.11%
NOVANTA INC COM    (COM) 13,710,000 167,772 0.11%
REALPAGE INC COM    (COM) RP 13,518,000 215,050 0.11%
UPLAND SOFTWARE INC COM    (COM) UPLD 13,461,000 386,144 0.11%
CARDTRONICS PLC SHS CL A    (COM) 13,354,000 441,602 0.11%
HANGER INC COM NEW    (COM) HGR 13,222,000 648,765 0.10%
WORLD FUEL SVCS CORP COM    (COM) INT 13,151,000 329,258 0.10%
ACCENTURE PLC IRELAND SHS CLAS    (COM) ACN 12,962,000 67,387 0.10%
ISHARES TR    (S&P 500 GRWT ETF) IVW 12,821,000 71,214 0.10%
PAYLOCITY HLDG CORP COM    (COM) PCTY 12,387,000 126,941 0.10%
COLUMBIA BKG SYS INC COM    (COM) COLB 12,336,000 334,300 0.10%
BROOKDALE SR LIVING INC COM    (COM) BKD 12,277,000 1,619,663 0.10%
COMCAST CORP NEW CL A    (COM) CMCSA 12,247,000 271,670 0.10%
LHC GROUP INC COM    (COM) LHCG 12,243,000 107,809 0.10%
ENTEGRIS INC COM    (COM) ENTG 12,171,000 258,634 0.10%
1 2 3 4 Next >Full Portfolio View
Total Value As 2019-09-30: 12,124,656,000 SEC FILING
* Portfolios do not reflect changes after reporting
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