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Congress Mid Cap Growth Fund

Professionally Managed Portfolios

Assets: $776M Net: $754M Series: S000038711 EDGAR ↗
+22
New
-23
Exited
62
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Copart Inc CPRT Apr 2024 526,500 -150,000 $32.1M -12.5% 4.26% EC
2 Raymond James Financial Inc RJF Apr 2024 222,060 -8,440 $30.4M +8.2% 4.03% EC
3 Brown & Brown Inc BRO Apr 2024 266,000 -119,000 $29.4M -6.3% 3.90% EC
4 Penumbra Inc PEN Apr 2025 99,929 New $29.3M 3.88% EC
5 EMCOR Group Inc EME Apr 2024 69,500 -35,500 $27.8M -25.7% 3.69% EC
6 Casey's General Stores Inc CASY Apr 2024 58,460 -51,540 $27.0M -23.1% 3.59% EC
7 Curtiss-Wright Corp CW Apr 2025 77,000 New $26.6M 3.52% EC
8 Crane Co CR Apr 2024 163,120 -193,130 $26.3M -47.4% 3.48% EC
9 Descartes Systems Group Inc/Th DSGX Apr 2024 235,860 -15,789 $24.9M +6.5% 3.30% EC
10 US Foods Holding Corp USFD Apr 2025 364,506 New $23.9M 3.17% EC
11 Ollie's Bargain Outlet Holding OLLI Apr 2025 221,927 New $23.5M 3.12% EC
12 Teledyne Technologies Inc TDY Apr 2024 47,100 -21,900 $22.0M -16.6% 2.91% EC
13 Sprouts Farmers Market Inc SFM Apr 2025 127,286 New $21.8M 2.89% EC
14 Halozyme Therapeutics Inc HALO Apr 2025 337,925 New $20.8M 2.75% EC
15 Stride Inc LRN Apr 2025 145,700 New $20.7M 2.75% EC
16 Encompass Health Corp EHC Apr 2025 177,000 New $20.7M 2.75% EC
17 Guidewire Software Inc GWRE Apr 2025 100,400 New $20.6M 2.73% EC
18 Deckers Outdoor Corp DECK Apr 2024 184,666 +148,416 $20.5M -31.0% 2.71% EC
19 Cooper Cos Inc/The COO Apr 2024 247,500 -69,000 $20.2M -28.3% 2.68% EC
20 Booz Allen Hamilton Holding Co BAH Apr 2024 167,350 -90,650 $20.1M -47.3% 2.66% EC
21 AptarGroup Inc ATR Apr 2025 132,555 New $19.9M 2.64% EC
22 Dexcom Inc DXCM Apr 2025 273,850 New $19.5M 2.59% EC
23 Houlihan Lokey Inc HLI Apr 2025 117,800 New $19.1M 2.53% EC
24 CyberArk Software Ltd CYBR Apr 2024 53,751 -80,749 $18.9M -31.2% 2.51% EC
25 Dynatrace Inc DT Apr 2024 399,120 -98,380 $18.7M -16.8% 2.49% EC
26 Monolithic Power Systems Inc MPWR Apr 2024 30,000 -32,250 $17.8M -57.3% 2.36% EC
27 GoDaddy Inc GDDY Apr 2025 93,270 New $17.6M 2.33% EC
28 Pure Storage Inc PSTG Apr 2024 379,650 -170,350 $17.2M -37.9% 2.28% EC
29 Texas Roadhouse Inc TXRH Apr 2025 103,050 New $17.1M 2.27% EC
30 SPS Commerce Inc SPSC Apr 2024 115,887 -77,113 $16.6M -50.4% 2.21% EC
31 MarketAxess Holdings Inc MKTX Apr 2025 74,950 New $16.6M 2.20% EC
32 Garmin Ltd GRMN Apr 2024 82,100 New $15.3M 2.03% EC
33 Fastenal Co FAST Apr 2025 186,000 New $15.1M 2.00% EC
34 nVent Electric PLC NVT Apr 2024 256,571 New $14.1M 1.87% EC
35 First American Treasury Obliga FXFXX Apr 2024 13,676,708 -3,286,304 $13.7M -19.4% 1.81% STIV
36 Pinterest Inc PINS Apr 2025 464,000 New $11.7M 1.56% EC
37 Datadog Inc DDOG Apr 2025 100,538 New $10.3M 1.36% EC
38 Onto Innovation Inc ONTO Apr 2025 32,400 New $4.0M 0.52% EC
39 Trade Desk Inc/The TTD Apr 2025 72,000 New $3.9M 0.51% EC
Entegris Inc 29362U104 287,500 Exited $38.2M
ChampionX Corp 15872M104 1,015,000 Exited $34.1M
ResMed Inc 761152107 158,500 Exited $33.9M
Qualys Inc 74758T303 202,501 Exited $33.2M
Watts Water Technologies Inc 942749102 164,000 Exited $32.5M
Avery Dennison Corp 053611109 147,500 Exited $32.0M
Church & Dwight Co Inc 171340102 292,500 Exited $31.6M
West Pharmaceutical Services I 955306105 87,000 Exited $31.1M
Darden Restaurants Inc 237194105 196,500 Exited $30.1M
Saia Inc 78709Y105 75,250 Exited $29.9M
Bruker Corp 116794108 381,500 Exited $29.8M
Mettler-Toledo International I 592688105 24,050 Exited $29.6M
DoubleVerify Holdings Inc 25862V105 987,500 Exited $28.9M
Valvoline Inc 92047W101 677,500 Exited $28.8M
FactSet Research Systems Inc 303075105 67,000 Exited $27.9M
Pool Corp 73278L105 77,000 Exited $27.9M
Charles River Laboratories Int 159864107 120,000 Exited $27.5M
Ulta Beauty Inc 90384S303 67,000 Exited $27.1M
Take-Two Interactive Software 874054109 182,014 Exited $26.0M
Hologic Inc 436440101 340,000 Exited $25.8M
Keysight Technologies Inc 49338L103 159,500 Exited $23.6M
WillScot Mobile Mini Holdings 971378104 547,500 Exited $20.2M
Perficient Inc 71375U101 93,384 Exited $4.4M