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

Handelsinvest Investeringsforvaltning INSTITUTION : Handelsinvest Investeringsforvaltning
Handelsinvest Investeringsforvaltning Portfolio (reported on 2020-04-30)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
Service Corp International/US    (Common Stock) SCI 17,843,000 456,240 4.73%
Grand Canyon Education Inc    (Common Stock) LOPE 15,662,000 205,321 4.15%
Alibaba Group Holding Ltd    (ADR) BABA 14,491,000 74,508 3.84%
Pool Corp    (Common Stock) POOL 14,375,000 73,055 3.81%
Kadant Inc    (Common Stock) KAI 13,437,000 180,000 3.56%
Fair Isaac Corp    (Common Stock) FIC 12,308,000 40,000 3.26%
Nuance Communications Inc    (Common Stock) NUAN 8,689,000 517,805 2.30%
Prosperity Bancshares Inc    (Common Stock) PRSP 8,203,000 170,000 2.17%
Darling Ingredients Inc    (Common Stock) DAR 7,668,000 400,000 2.03%
Cooper Cos Inc/The    (Common Stock) COO 7,503,000 27,218 1.98%
Allegion plc    (Common Stock) ALLE 7,362,000 80,000 1.95%
Bright Horizons Family Solutio    (Common Stock) BFAM 7,177,000 70,358 1.90%
MAXIMUS Inc    (Common Stock) MMS 6,984,000 120,000 1.85%
East West Bancorp Inc    (Common Stock) EWBC 6,927,000 269,129 1.83%
Boingo Wireless Inc    (Common Stock) WIFI 6,897,000 650,000 1.82%
MasTec Inc    (Common Stock) MTZ 6,546,000 200,000 1.73%
Cavco Industries Inc    (Common Stock) CVCO 6,522,000 45,000 1.72%
JD.com Inc    (ADR) JD 6,075,000 150,000 1.61%
Watsco Inc    (Common Stock) WSO 5,926,000 37,500 1.57%
Cerence Inc    (Common Stock) 5,775,000 375,000 1.53%
Strategic Education Inc    (Common Stock) 5,590,000 40,000 1.48%
Graphic Packaging Holding Co    (Common Stock) GPK 5,490,000 450,000 1.45%
Southside Bancshares Inc    (Common Stock) SBSI 5,470,000 180,000 1.45%
Teladoc Health Inc    (Common Stock) 5,425,000 35,000 1.43%
Masimo Corp    (Common Stock) MASI 5,314,000 30,000 1.40%
MSA Safety Inc    (Common Stock) MSA 5,060,000 50,000 1.34%
First Horizon National Corp    (Common Stock) FHN 4,836,000 600,000 1.28%
Everbridge Inc    (Common Stock) 4,786,000 45,000 1.26%
LCI Industries    (Common Stock) 4,745,000 71,000 1.25%
Exact Sciences Corp    (Common Stock) EXAS 4,640,000 80,000 1.23%
Western Alliance Bancorp    (Common Stock) WAL 4,592,000 150,000 1.21%
Alarm.com Holdings Inc    (Common Stock) 4,475,000 115,000 1.18%
Proofpoint Inc    (Common Stock) PFPT 4,104,000 40,000 1.08%
Trupanion Inc    (Common Stock) TRUP 3,905,000 150,000 1.03%
Ashland Global Holdings Inc    (Common Stock) 3,755,000 75,000 0.99%
Tyler Technologies Inc    (Common Stock) TYL 3,707,000 12,500 0.98%
Trex Co Inc    (Common Stock) TWP 3,700,000 46,169 0.98%
TPI Composites Inc    (Common Stock) 3,695,000 250,000 0.98%
Rollins Inc    (Common Stock) ROL 3,614,000 100,000 0.95%
IAA Inc    (Common Stock) 3,595,000 120,000 0.95%
IAC/interactivecorp    (Common Stock) IACI 3,585,000 20,000 0.95%
eHealth Inc    (Common Stock) EHTH 3,521,000 25,000 0.93%
Global Water Resources Inc    (Common Stock) 3,465,000 340,000 0.91%
Neurocrine Biosciences Inc    (Common Stock) NBIX 3,462,000 40,000 0.91%
Vail Resorts Inc    (Common Stock) MTN 2,954,000 20,000 0.78%
Tabula Rasa HealthCare Inc    (Common Stock) 2,876,000 55,000 0.76%
National Bank Holdings Corp    (Common Stock) NBHC 2,868,000 120,000 0.76%
Ameresco Inc    (Common Stock) AMRC 2,725,000 160,000 0.72%
AquaVenture Holdings Ltd    (Common Stock) 2,703,000 100,000 0.71%
Planet Fitness Inc    (Common Stock) PLNT 2,643,000 54,280 0.70%
Evoqua Water Technologies Corp    (Common Stock) 2,522,000 225,000 0.66%
Glu Mobile Inc    (Common Stock) GLUU 2,516,000 400,000 0.66%
Mueller Water Products Inc    (Common Stock) MWA 2,403,000 300,000 0.63%
Colony Capital Inc    (REIT) 2,275,000 1,300,000 0.60%
PTC Therapeutics Inc    (Common Stock) PTCT 2,231,000 50,000 0.59%
SolarEdge Technologies Inc    (Common Stock) 2,047,000 25,000 0.54%
Redfin Corp    (Common Stock) 1,928,000 125,000 0.51%
Visteon Corp    (Common Stock) VSTO 1,919,000 40,000 0.50%
Willdan Group Inc    (Common Stock) WLDN 1,710,000 80,000 0.45%
CryoPort Inc    (Common Stock) 1,707,000 100,000 0.45%
Cognex Corp    (Common Stock) CGNX 1,689,000 40,000 0.44%
Insulet Corp    (Common Stock) PODD 1,657,000 10,000 0.43%
Teradyne Inc    (Common Stock) TER 1,625,000 30,000 0.43%
Baidu Inc    (ADR) BIDU 1,613,000 16,000 0.42%
HDFC Bank Ltd    (ADR) HDB 1,599,000 41,560 0.42%
Park City Group Inc    (Common Stock) PCYG 1,558,000 410,000 0.41%
Sunnova Energy International I    (Common Stock) 1,453,000 144,259 0.38%
Cree Inc    (Common Stock) CREE 1,418,000 40,000 0.37%
Momo Inc    (ADR) MOMO 1,410,000 65,000 0.37%
ShotSpotter Inc    (Common Stock) 1,374,000 50,000 0.36%
Biohaven Pharmaceutical Holdin    (Common Stock) 1,361,000 40,000 0.36%
Pluralsight Inc    (Common Stock) 1,318,000 120,000 0.34%
Aerie Pharmaceuticals Inc    (Common Stock) AERI 1,215,000 90,000 0.32%
Akoustis Technologies Inc    (Common Stock) 1,074,000 200,000 0.28%
Autohome Inc    (ADR) ATHM 1,065,000 15,000 0.28%
Napco Security Technologies In    (Common Stock) NSSC 1,062,000 70,000 0.28%
NetEase Inc    (ADR) NTES 1,059,000 3,300 0.28%
Microsoft Corp    (Common Stock) MSFT 1,054,000 6,682 0.27%
Mastercard Inc    (Common Stock) MA 1,032,000 4,273 0.27%
New Oriental Education & Techn    (ADR) EDU 1,023,000 9,450 0.27%
Amazon.com Inc    (Common Stock) AMZN 959,000 492 0.25%
Alteryx Inc    (Common Stock) 952,000 10,000 0.25%
Alphabet Inc    (Common Stock) GOOG 917,000 789 0.24%
TSMC    (ADR) TSM 902,000 18,884 0.23%
UnitedHealth Group Inc    (Common Stock) UNH 901,000 3,611 0.23%
Allakos Inc    (Common Stock) 890,000 20,000 0.23%
Baxter International Inc    (Common Stock) BAX 852,000 10,500 0.22%
TAL Education Group    (ADR) XRS 831,000 15,600 0.22%
Eli Lilly and Co    (Common Stock) LLY 816,000 5,883 0.21%
58.com Inc    (ADR) WUBA 786,000 16,123 0.20%
Thermo Fisher Scientific Inc    (Common Stock) TMO 766,000 2,700 0.20%
Abbott Laboratories    (Common Stock) ABT 719,000 9,110 0.19%
Nasdaq Inc    (Common Stock) NDAQ 707,000 7,451 0.18%
Check Point Software Technolog    (Common Stock) CHKP 706,000 7,022 0.18%
Fidelity National Information    (Common Stock) FIS 670,000 5,508 0.17%
PayPal Holdings Inc    (Common Stock) PYPL 658,000 6,878 0.17%
Activision Blizzard Inc    (Common Stock) ATVI 657,000 11,043 0.17%
Digimarc Corp    (Common Stock) DMRC 653,000 50,000 0.17%
Home Depot Inc/The    (Common Stock) HD 637,000 3,413 0.16%
Progressive Corp/The    (Common Stock) PGR 591,000 8,000 0.15%
First Republic Bank/CA    (Common Stock) FRC 581,000 7,066 0.15%
Apple Inc    (Common Stock) AAPL 525,000 2,066 0.13%
NVIDIA Corp    (Common Stock) NVDA 499,000 1,894 0.13%
Xylem Inc/NY    (Common Stock) XYL 478,000 7,336 0.12%
Trip.com Group Ltd    (ADR) 469,000 20,000 0.12%
Reed's Inc    (Common Stock) REED 428,000 900,000 0.11%
Citrix Systems Inc    (Common Stock) CTXS 425,000 3,000 0.11%
Loop Industries Inc    (Common Stock) 365,000 50,000 0.09%
Albemarle Corp    (Common Stock) ALB 363,000 6,439 0.09%
Walt Disney Co/The    (Common Stock) DIS 359,000 3,719 0.09%
Gates Industrial Corp PLC    (Common Stock) 345,000 46,731 0.09%
ANSYS Inc    (Common Stock) ANSS 263,000 1,132 0.06%
SVB Financial Group    (Common Stock) SIVB 240,000 1,591 0.06%
Grupo Aeroportuario del Surest    (ADR) ASR 225,000 2,393 0.05%
Everspin Technologies Inc    (Common Stock) 222,000 84,791 0.05%
Embotelladora Andina SA    (ADR) AKO.B 96,000 7,774 0.02%
Total Value As 2020-03-31: 377,040,000 SEC FILING
* Portfolios do not reflect changes after reporting
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