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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 2019-10-22)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
Service Corp International/US    (Common Stock) SCI 24,879,000 520,365 5.47%
Pool Corp    (Common Stock) POOL 19,738,000 97,855 4.34%
Grand Canyon Education Inc    (Common Stock) LOPE 17,217,000 175,321 3.78%
Allegion PLC    (Common Stock) ALLE 16,584,000 160,000 3.64%
Kadant Inc    (Common Stock) KAI 15,802,000 180,000 3.47%
Bright Horizons Family Solutio    (Common Stock) BFAM 15,442,000 101,258 3.39%
Fair Isaac Corp    (Common Stock) FIC 14,569,000 48,000 3.20%
Alibaba Group Holding Ltd    (ADR) BABA 14,233,000 85,108 3.13%
East West Bancorp Inc    (Common Stock) EWBC 14,001,000 316,129 3.08%
Vail Resorts Inc    (Common Stock) MTN 11,378,000 50,000 2.50%
MasTec Inc    (Common Stock) MTZ 11,038,000 170,000 2.42%
Cooper Cos Inc/The    (Common Stock) COO 9,651,000 32,494 2.12%
IAC/InterActiveCorp    (Common Stock) IACI 9,503,000 43,598 2.09%
Western Alliance Bancorp    (Common Stock) WAL 9,216,000 200,000 2.02%
Prosperity Bancshares Inc    (Common Stock) PRSP 8,659,000 122,600 1.90%
LCI Industries    (Common Stock) 8,267,000 90,000 1.81%
TPI Composites Inc    (Common Stock) 7,875,000 420,000 1.73%
Cavco Industries Inc    (Common Stock) CVCO 7,299,000 38,000 1.60%
MSA Safety Inc    (Common Stock) MSA 7,092,000 65,000 1.56%
Southside Bancshares Inc    (Common Stock) SBSI 6,822,000 200,000 1.50%
Strategic Education Inc    (Common Stock) 6,115,000 45,000 1.34%
Boingo Wireless Inc    (Common Stock) WIFI 6,105,000 550,000 1.34%
AquaVenture Holdings Ltd    (Common Stock) 6,023,000 310,000 1.32%
Ashland Global Holdings Inc    (Common Stock) 6,019,000 78,114 1.32%
Nuance Communications Inc    (Common Stock) NUAN 5,959,000 365,300 1.31%
Watsco Inc    (Common Stock) WSO 5,921,000 35,000 1.30%
MAXIMUS Inc    (Common Stock) MMS 5,357,000 69,331 1.17%
First Horizon National Corp    (Common Stock) FHN 5,346,000 330,000 1.17%
Exact Sciences Corp    (Common Stock) EXAS 5,070,000 56,100 1.11%
IAA Inc    (Common Stock) 5,008,000 120,000 1.10%
Welbilt Inc    (Common Stock) 4,940,000 293,022 1.08%
Columbia Sportswear Co    (Common Stock) COLM 4,845,000 50,000 1.06%
Tivity Health Inc    (Common Stock) 4,656,000 280,000 1.02%
Tyler Technologies Inc    (Common Stock) TYL 4,594,000 17,500 1.01%
Proofpoint Inc    (Common Stock) PFPT 4,517,000 35,000 0.99%
Neurocrine Biosciences Inc    (Common Stock) NBIX 4,506,000 50,000 0.99%
Masimo Corp    (Common Stock) MASI 4,464,000 30,000 0.98%
Mellanox Technologies Ltd    (Common Stock) MLNX 4,384,000 40,000 0.96%
Umpqua Holdings Corp    (Common Stock) UMPQ 4,115,000 250,000 0.90%
Rollins Inc    (Common Stock) ROL 4,088,000 120,000 0.89%
Evoqua Water Technologies Corp    (Common Stock) 4,085,000 240,000 0.89%
Trupanion Inc    (Common Stock) TRUP 4,067,000 160,000 0.89%
Alarm.com Holdings Inc    (Common Stock) 3,731,000 80,000 0.82%
Teladoc Health Inc    (Common Stock) 3,438,000 50,775 0.75%
National Bank Holdings Corp    (Common Stock) NBHC 3,419,000 100,000 0.75%
Visteon Corp    (Common Stock) VSTO 3,302,000 40,000 0.72%
Trex Co Inc    (Common Stock) TWP 3,243,000 35,669 0.71%
Planet Fitness Inc    (Common Stock) PLNT 3,141,000 54,280 0.69%
Global Water Resources Inc    (Common Stock) 2,698,000 227,849 0.59%
FibroGen Inc    (Common Stock) FGEN 2,640,000 71,400 0.58%
Momo Inc    (ADR) MOMO 2,540,000 82,000 0.55%
Redfin Corp    (Common Stock) 2,526,000 150,000 0.55%
Cognex Corp    (Common Stock) CGNX 2,457,000 50,000 0.54%
KAR Auction Services Inc    (Common Stock) KAR 2,455,000 100,000 0.54%
Everbridge Inc    (Common Stock) 2,283,000 36,988 0.50%
Glu Mobile Inc    (Common Stock) GLUU 1,996,000 400,000 0.43%
Proto Labs Inc    (Common Stock) PRLB 1,932,000 18,916 0.42%
Park City Group Inc    (Common Stock) PCYG 1,867,000 323,555 0.41%
Sunnova Energy International I    (Common Stock) 1,753,000 163,000 0.38%
Pluralsight Inc    (Common Stock) 1,680,000 100,000 0.36%
Biohaven Pharmaceutical Holdin    (Common Stock) 1,669,000 40,000 0.36%
Tabula Rasa HealthCare Inc    (Common Stock) 1,648,000 30,000 0.36%
HDFC Bank Ltd    (ADR) HDB 1,597,000 28,000 0.35%
SVB Financial Group    (Common Stock) SIVB 1,455,000 6,963 0.32%
Evolent Health Inc    (Common Stock) 1,438,000 200,000 0.31%
JD.com Inc    (ADR) JD 1,411,000 50,000 0.31%
IPG Photonics Corp    (Common Stock) IPGP 1,356,000 10,000 0.29%
Mastercard Inc    (Common Stock) MA 1,266,000 4,662 0.27%
Progressive Corp/The    (Common Stock) PGR 1,158,000 14,987 0.25%
Aerie Pharmaceuticals Inc    (Common Stock) AERI 1,153,000 60,000 0.25%
TSMC    (ADR) TSM 1,060,000 22,799 0.23%
New Oriental Education & Techn    (ADR) EDU 1,047,000 9,450 0.23%
Microsoft Corp    (Common Stock) MSFT 1,044,000 7,510 0.22%
Apple Inc    (Common Stock) AAPL 994,000 4,437 0.21%
Home Depot Inc/The    (Common Stock) HD 992,000 4,276 0.21%
Insulet Corp    (Common Stock) PODD 990,000 6,000 0.21%
Everspin Technologies Inc    (Common Stock) 981,000 160,000 0.21%
Alphabet Inc    (Common Stock) GOOG 965,000 792 0.21%
Nasdaq Inc    (Common Stock) NDAQ 964,000 9,703 0.21%
58.com Inc    (ADR) WUBA 943,000 19,123 0.20%
Agios Pharmaceuticals Inc    (Common Stock) AGIO 940,000 29,000 0.20%
Autohome Inc    (ADR) ATHM 914,000 11,000 0.20%
Infosys Ltd    (ADR) INFY 901,000 79,200 0.19%
Walt Disney Co/The    (Common Stock) DIS 889,000 6,819 0.19%
NetEase Inc    (ADR) NTES 878,000 3,300 0.19%
ArQule Inc    (Common Stock) ARQL 860,000 120,000 0.18%
PayPal Holdings Inc    (Common Stock) PYPL 858,000 8,278 0.18%
UnitedHealth Group Inc    (Common Stock) UNH 845,000 3,890 0.18%
Booking Holdings Inc    (Common Stock) 830,000 423 0.18%
Fidelity National Information    (Common Stock) FIS 811,000 6,108 0.17%
First Republic Bank/CA    (Common Stock) FRC 809,000 8,366 0.17%
Thermo Fisher Scientific Inc    (Common Stock) TMO 807,000 2,770 0.17%
Eli Lilly & Co    (Common Stock) LLY 770,000 6,883 0.16%
Check Point Software Technolog    (Common Stock) CHKP 769,000 7,022 0.16%
Reed's Inc    (Common Stock) REED 748,000 575,000 0.16%
Amazon.com Inc    (Common Stock) AMZN 745,000 429 0.16%
Grupo Aeroportuario del Surest    (ADR) ASR 682,000 4,471 0.15%
Abbott Laboratories    (Common Stock) ABT 679,000 8,110 0.14%
PTC Therapeutics Inc    (Common Stock) PTCT 676,000 20,000 0.14%
Xylem Inc/NY    (Common Stock) XYL 644,000 8,094 0.14%
Baidu Inc    (ADR) BIDU 617,000 6,000 0.13%
Digimarc Corp    (Common Stock) DMRC 586,000 15,000 0.12%
Ctrip.com International Ltd    (ADR) CTRP 586,000 20,000 0.12%
Royal Caribbean Cruises Ltd    (Common Stock) RCL 570,000 5,262 0.12%
Albemarle Corp    (Common Stock) ALB 567,000 8,153 0.12%
TAL Education Group    (ADR) XRS 534,000 15,600 0.11%
Napco Security Technologies In    (Common Stock) NSSC 510,000 20,000 0.11%
Bloom Energy Corp    (Common Stock) 488,000 150,000 0.10%
Gates Industrial Corp PLC    (Common Stock) 471,000 46,731 0.10%
ShotSpotter Inc    (Common Stock) 461,000 20,000 0.10%
Loop Industries Inc    (Common Stock) 385,000 30,000 0.08%
ANSYS Inc    (Common Stock) ANSS 383,000 1,732 0.08%
CryoPort Inc    (Common Stock) 327,000 20,000 0.07%
Activision Blizzard Inc    (Common Stock) ATVI 320,000 6,043 0.07%
NVIDIA Corp    (Common Stock) NVDA 303,000 1,743 0.06%
Embotelladora Andina SA    (ADR) AKO.B 276,000 13,774 0.06%
AO Smith Corp    (Common Stock) AOS 185,000 3,870 0.04%
Clarus Corp    (Common Stock) 117,000 10,000 0.02%
Total Value As 2019-09-30: 454,422,000 SEC FILING
* Portfolios do not reflect changes after reporting
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