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STOCK TICKER:

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

JAG CAPITAL MANAGEMENT, LLC INSTITUTION : JAG CAPITAL MANAGEMENT, LLC
JAG CAPITAL MANAGEMENT, LLC Portfolio (reported on 2020-04-16)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
Microsoft Corporation    (COM) MSFT 37,244,000 236,156 5.48%
Amazon.com Inc.    (COM) AMZN 32,973,000 16,912 4.85%
Adobe Inc    (COM) ADBE 28,058,000 88,169 4.13%
Nvidia Corp.    (COM) NVDA 21,900,000 83,081 3.22%
PayPal Hldgs Inc    (COM) PYPL 21,530,000 224,879 3.17%
Alphabet Inc Class A    (COM) GOOGL 20,750,000 17,858 3.05%
Lululemon Athletica Inc.    (COM) LULU 19,503,000 102,890 2.87%
Thermo Fisher Scientific Inc    (COM) TMO 19,365,000 68,280 2.85%
Salesforce.com Inc    (COM) CRM 18,662,000 129,611 2.75%
Zoetis Inc Cl A    (COM) ZTS 18,475,000 156,980 2.72%
Akamai Technologies Inc.    (COM) AKAM 18,065,000 197,446 2.66%
Facebook Inc Class A    (COM) FB 17,693,000 106,077 2.60%
Activision Blizzard Inc.    (COM) ATVI 17,505,000 294,294 2.57%
Visa Inc. Class A    (COM) V 17,048,000 105,810 2.51%
CoStar Group Inc    (COM) CSGP 16,249,000 27,672 2.39%
Vertex Pharmaceuticals Inc.    (COM) VRTX 15,330,000 64,428 2.25%
Applied Materials Inc.    (COM) AMAT 15,054,000 328,555 2.21%
Carlisle Companies Inc    (COM) CSL 13,352,000 106,579 1.96%
Gilead Sciences Inc    (COM) GILD 13,064,000 174,754 1.92%
Micron Technology Inc.    (COM) MU 12,925,000 307,286 1.90%
ANSYS Inc    (COM) ANSS 12,619,000 54,282 1.85%
MasterCard Inc Class A    (COM) MA 10,952,000 45,338 1.61%
Splunk Inc    (COM) SPLK 10,873,000 86,140 1.60%
Copart Inc    (COM) CPRT 9,687,000 141,376 1.42%
Leidos Hldgs Inc    (COM) LDOS 9,490,000 103,547 1.39%
Apple Inc    (COM) AAPL 9,323,000 36,663 1.37%
IHS Markit Ltd Shs    (COM) 8,743,000 145,713 1.28%
Fortune Brands Homes & Sec Inc    (COM) FBHS 8,680,000 200,689 1.27%
Procter & Gamble Co.    (COM) PG 8,618,000 78,345 1.27%
Bristol Myers Squibb Company    (COM) BMY 8,310,000 149,085 1.22%
ASML Hldg NV NY Registry Shs 2012    (COM) ASML 8,224,000 31,432 1.21%
Roku Inc Cl A    (COM) 7,310,000 83,564 1.07%
Insulet Corp.    (COM) PODD 6,846,000 41,323 1.00%
Verizon Communications    (COM) VZ 6,602,000 122,867 0.97%
Old Dominion Freight Line Inc    (COM) ODFL 6,331,000 48,237 0.93%
S&P Global Inc    (COM) SPGI 5,112,000 20,862 0.75%
Goldman Sachs Group Inc    (COM) GS 5,107,000 33,039 0.75%
The Trade Desk Inc Class A    (COM) 4,058,000 21,028 0.59%
Idexx Laboratories Corp.    (COM) IDXX 4,016,000 16,577 0.59%
Merck & Co Inc New    (COM) MRK 3,753,000 48,777 0.55%
Zoom Video Comm Inc Cl A    (COM) 3,688,000 25,240 0.54%
Edwards Lifesciences Corp.    (COM) EW 3,654,000 19,370 0.53%
American Tower REIT    (COM) AMT 3,632,000 16,678 0.53%
Sherwin-Williams Co    (COM) SHW 3,586,000 7,805 0.52%
Alphabet Inc Class C    (COM) GOOG 3,551,000 3,054 0.52%
Starbucks Corporation    (COM) SBUX 3,524,000 53,612 0.51%
Intuitive Surgical Inc    (COM) ISRG 3,447,000 6,960 0.50%
SBA Communications Corp New Cl A    (COM) 3,248,000 12,031 0.47%
Fiserv Inc    (COM) FISV 2,985,000 31,427 0.43%
Estee Lauder Companies Inc. Class    (COM) EL 2,923,000 18,343 0.43%
Ecolab Inc    (COM) ECL 2,735,000 17,552 0.40%
Marvell Technology Group Ltd    (COM) MRVL 2,392,000 105,687 0.35%
Pepsico Inc.    (COM) PEP 2,293,000 19,094 0.33%
Disney Walt Co.    (COM) DIS 2,281,000 23,610 0.33%
Accenture Ltd. Ireland Class Shar    (COM) ACN 2,274,000 13,930 0.33%
Automatic Data Processing    (COM) ADP 2,264,000 16,565 0.33%
Cerner Corp.    (COM) CERN 2,190,000 34,767 0.32%
Twitter Inc    (COM) TWTR 2,063,000 84,008 0.30%
Cisco Systems Inc    (COM) CSCO 2,031,000 51,665 0.29%
Colgate Palmolive Co.    (COM) CL 2,024,000 30,501 0.29%
Voya Finl Inc    (COM) VOYA 2,002,000 49,375 0.29%
Target Corporation    (COM) TGT 1,949,000 20,959 0.28%
Blackrock Inc    (COM) BLK 1,753,000 3,985 0.25%
Arista Networks Inc    (COM) ANET 1,715,000 8,465 0.25%
Canadian Pacific Railway Ltd    (COM) CP 1,664,000 7,576 0.24%
Zendesk Inc    (COM) ZEN 1,644,000 25,689 0.24%
Chipotle Mexican Grill Inc    (COM) CMG 1,618,000 2,472 0.23%
Vulcan Materials Co Hldg Co    (COM) VMC 1,603,000 14,838 0.23%
Mercury Computer Sys Inc    (COM) MRCY 1,557,000 21,830 0.22%
Coca-Cola Company    (COM) KO 1,549,000 35,003 0.22%
Ball Corp    (COM) BLL 1,521,000 23,519 0.22%
Parker-Hannifin Corp    (COM) PH 1,512,000 11,653 0.22%
Home Depot Inc    (COM) HD 1,499,000 8,030 0.22%
Deere & Company    (COM) DE 1,499,000 10,850 0.22%
Amer Express Company    (COM) AXP 1,433,000 16,739 0.21%
Health Care Select SPDR    (COM) XLV 1,404,000 15,845 0.20%
Abbott Laboratories    (COM) ABT 1,346,000 17,058 0.19%
PNC Financial Services Group    (COM) PNC 1,324,000 13,827 0.19%
Cummins Inc.    (COM) CMI 1,313,000 9,704 0.19%
Kansas City Southern    (COM) KSU 1,302,000 10,238 0.19%
Vanguard Splzd Port Div Appre Idx    (COM) VIG 1,241,000 12,001 0.18%
Fidelity Natl Information Svcs Inc    (COM) FIS 1,090,000 8,963 0.16%
Becton Dickinson    (COM) BDX 1,053,000 4,582 0.15%
W P Carey Inc    (COM) WPC 1,041,000 17,923 0.15%
CyrusOne Inc    (COM) CONE 1,023,000 16,570 0.15%
Blackstone Group Inc Cl A    (COM) 1,013,000 22,237 0.14%
Regions Financial Corporation    (COM) RF 967,000 107,767 0.14%
Vanguard Russell 1000 Growth Idx E    (COM) VONG 930,000 6,012 0.13%
Owens Corning New    (COM) OC 847,000 21,833 0.12%
TPG Specialty Lending Inc    (COM) TSLX 833,000 59,847 0.12%
Amgen Incorporated    (COM) AMGN 799,000 3,941 0.11%
TJX Companies Inc.    (COM) TJX 785,000 16,409 0.11%
Intl. Business Machines Corp.    (COM) IBM 760,000 6,850 0.11%
Golub Cap BDC Inc    (COM) GBDC 734,000 58,451 0.10%
Owl Rock Cap Corp    (COM) 727,000 62,992 0.10%
Anthem Inc    (COM) ANTM 722,000 3,181 0.10%
Ares Cap Corp    (COM) ARCC 716,000 66,447 0.10%
Main Str Cap Corp    (COM) MAIN 698,000 34,031 0.10%
Align Technology Inc    (COM) ALGN 693,000 3,982 0.10%
Goldman Sachs BDC Inc    (COM) GSBD 683,000 55,398 0.10%
Hercules Technology Growth Cap Inc    (COM) HTGC 673,000 88,143 0.09%
Pulte Homes Inc.    (COM) PHM 672,000 30,116 0.09%
Blackstone Mortgage Trust Inc Cla    (COM) BXMT 666,000 35,746 0.09%
Quest Diagnostics Inc.    (COM) DGX 629,000 7,834 0.09%
Union Pacific Corporation    (COM) UNP 629,000 4,460 0.09%
Vanguard Tax Mgd Intl FTSE Dev Mkt    (COM) VEA 628,000 18,828 0.09%
Chimera Invt Corp New    (COM) CIM 608,000 66,866 0.08%
Danaher Corporation    (COM) DHR 601,000 4,343 0.08%
Mosaic Co. New    (COM) MOS 600,000 55,450 0.08%
Ishares Russell 1000 Growth Index    (COM) IWF 583,000 3,869 0.08%
Costco Wholesale Corporation    (COM) COST 576,000 2,020 0.08%
Vanguard Idx Fds Vanguard Small Ca    (COM) VB 569,000 4,925 0.08%
Alibaba Grp Shs ADR    (COM) BABA 564,000 2,900 0.08%
Starwood Property Trust Inc    (COM) STWD 558,000 54,424 0.08%
Apollo Coml Real Estate Fin Inc    (COM) ARI 537,000 72,319 0.07%
Brookfield Asset Management Inc. C    (COM) BAM 514,000 11,623 0.07%
World Wrestling Entmt Inc Cl A    (COM) WWE 509,000 15,000 0.07%
Alaska Air Group    (COM) ALK 507,000 17,795 0.07%
Berkshire Hathaway Inc. Class B    (COM) BRK/B 496,000 2,712 0.07%
Vanguard Scottsdale I-T Govt Bd    (COM) VGIT 478,000 6,774 0.07%
McDonalds Corp.    (COM) MCD 454,000 2,743 0.06%
Blackrock TCP Cap Corp    (COM) 434,000 69,412 0.06%
iShares Lehman 1-3YR Treasury Bd F    (COM) SHY 418,000 4,818 0.06%
Qualcomm Inc.    (COM) QCOM 411,000 6,078 0.06%
Johnson & Johnson    (COM) JNJ 405,000 3,091 0.05%
Spdr Sr Tr Barclays High Yield Bd    (COM) 403,000 4,256 0.05%
Pfizer Inc    (COM) PFE 391,000 11,972 0.05%
Ladder Cap Corp Cl A    (COM) LADR 381,000 80,281 0.05%
Vanguard Idx Fds Small Cap Value E    (COM) VBR 380,000 4,282 0.05%
Waste Mgmt. Inc. Com    (COM) WMI 380,000 4,102 0.05%
Atlassian Corp PLC A    (COM) TEAM 379,000 2,760 0.05%
Commerce Bancshares Inc.    (COM) CBSH 375,000 7,456 0.05%
Comcast Corporation Class A    (COM) CMCSA 374,000 10,877 0.05%
Vanguard Emerging Markets ETF    (COM) VWO 343,000 10,226 0.05%
IShares DJ Select Dividend Index F    (COM) DVY 342,000 4,647 0.05%
JP Morgan Chase & Co.    (COM) JPM 339,000 3,761 0.04%
Veeva Sys Inc Cl A    (COM) VEEV 332,000 2,125 0.04%
Americold Rlty Tr    (COM) 323,000 9,479 0.04%
Ishares Barclays TIPS Bd Fd Prot S    (COM) TIP 321,000 2,722 0.04%
U. S. Bancorp    (COM) USB 307,000 8,915 0.04%
Honeywell International Inc.    (COM) HON 300,000 2,242 0.04%
Astrazeneca PLC Spon. ADR    (COM) AZN 291,000 6,508 0.04%
Vanguard Total Stock Market ETF    (COM) VTI 286,000 2,222 0.04%
IShares S & P Natl AMT Free Muni B    (COM) MUB 283,000 2,500 0.04%
MFA Finl Inc    (COM) MFA 272,000 175,627 0.04%
Brookfield Ppty REIT Cl A    (COM) 260,000 30,620 0.03%
Moodys Corp.    (COM) MCO 255,000 1,205 0.03%
Northrop Grumman Corp    (COM) NOC 242,000 800 0.03%
Invesco ETF Tr Water Res    (COM) 240,000 7,649 0.03%
Paylocity Hldg Corp    (COM) PCTY 240,000 2,714 0.03%
Lilly Eli & Co    (COM) LLY 236,000 1,701 0.03%
FleetCor Technologies Inc    (COM) FLT 233,000 1,250 0.03%
ISHARES IBOXX I G Corp Bd Fd    (COM) LQD 229,000 1,852 0.03%
Netflix Inc.    (COM) NFLX 228,000 608 0.03%
Chevron Corporation    (COM) CVX 225,000 3,103 0.03%
Intel Corporation    (COM) INTC 210,000 3,880 0.03%
Paycom Software Inc    (COM) PAYC 202,000 1,000 0.02%
Ellington Finl Inc    (COM) 180,000 31,548 0.02%
Enterprise Products Partners    (COM) EPD 153,000 10,686 0.02%
Rockwell Med Inc    (COM) RMTI 78,000 38,250 0.01%
Daktronics Inc    (COM) DAKT 75,000 15,285 0.01%
Total Value As 2020-03-31: 678,553,000 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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