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Congress SMid Growth ETF

Professionally Managed Portfolios

Assets: $273M Net: $272M Series: S000081384 EDGAR ↗
+13
New
-9
Exited
53
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Comfort Systems USA Inc FIX Apr 2024 29,435 +9,336 $11.7M +88.2% 4.30% EC
2 BJ's Wholesale Club Holdings I BJ Apr 2024 94,772 +55,442 $11.1M +279.3% 4.09% EC
3 CyberArk Software Ltd CYBR Apr 2024 29,769 -2,109 $10.5M +684.7% 3.85% EC
4 Curtiss-Wright Corp CW Apr 2024 28,694 +16,673 $9.9M +224.9% 3.64% EC
5 Halozyme Therapeutics Inc HALO Apr 2024 139,199 +81,412 $8.5M +288.3% 3.14% EC
6 Tractor Supply Co TSCO Apr 2024 158,852 +145,604 $8.0M +122.3% 2.95% EC
7 AZEK Co Inc/The AZEK Apr 2024 158,544 +92,718 $7.9M +161.5% 2.89% EC
8 Prestige Consumer Healthcare I PBH Apr 2024 95,772 +56,028 $7.8M +172.8% 2.86% EC
9 Duolingo Inc DUOL Apr 2025 19,127 New $7.4M 2.74% EC
10 PTC Inc PTC Apr 2024 46,679 +27,221 $7.2M +109.5% 2.66% EC
11 Sterling Infrastructure Inc STRL Apr 2025 47,729 New $7.1M 2.62% EC
12 Insulet Corp PODD Apr 2024 28,079 +16,073 $7.1M +243.2% 2.60% EC
13 Valmont Industries Inc VMI Apr 2024 23,848 +12,256 $7.0M +194.5% 2.57% EC
14 SPS Commerce Inc SPSC Apr 2024 47,350 +25,408 $6.8M +78.1% 2.50% EC
15 Ollie's Bargain Outlet Holding OLLI Apr 2025 62,375 New $6.6M 2.43% EC
16 Badger Meter Inc BMI Apr 2025 28,849 New $6.4M 2.34% EC
17 Commvault Systems Inc CVLT Apr 2025 36,922 New $6.2M 2.27% EC
18 First American Treasury Obliga FXFXX Apr 2024 6,146,350 +3,829,325 $6.1M +165.3% 2.26% STIV
19 Medpace Holdings Inc MEDP Apr 2024 19,629 +7,785 $6.1M +31.6% 2.22% EC
20 Range Resources Corp RRC Apr 2024 175,684 +102,773 $6.0M +127.7% 2.19% EC
21 Morningstar Inc MORN Apr 2024 20,762 +11,985 $5.9M +138.3% 2.17% EC
22 nVent Electric PLC NVT Apr 2024 105,769 New $5.8M 2.13% EC
23 STERIS PLC STE Apr 2024 25,679 New $5.8M 2.12% EC
24 Penumbra Inc PEN Apr 2024 18,936 +12,544 $5.5M +341.6% 2.04% EC
25 PJT Partners Inc PJT Apr 2025 38,669 New $5.5M 2.01% EC
26 CDW Corp/DE CDW Apr 2024 32,679 +19,017 $5.2M +58.8% 1.93% EC
27 UFP Technologies Inc UFPT Apr 2024 24,712 +10,636 $5.2M +77.8% 1.89% EC
28 Cooper Cos Inc/The COO Apr 2024 63,075 +35,747 $5.2M +111.7% 1.89% EC
29 elf Beauty Inc ELF Apr 2024 81,208 +57,391 $5.0M +29.8% 1.85% EC
30 Simply Good Foods Co/The SMPL Apr 2024 136,878 +80,147 $4.9M +139.0% 1.82% EC
31 Kinsale Capital Group Inc KNSL Apr 2024 11,216 +6,446 $4.9M +181.7% 1.79% EC
32 Maplebear Inc CART Apr 2025 121,904 New $4.9M 1.79% EC
33 Western Alliance Bancorp WAL Apr 2025 69,418 New $4.8M 1.78% EC
34 Rambus Inc RMBS Apr 2025 98,684 New $4.8M 1.77% EC
35 Lincoln Electric Holdings Inc LECO Apr 2025 27,324 New $4.8M 1.77% EC
36 Avery Dennison Corp AVY Apr 2024 26,679 +15,501 $4.6M +88.0% 1.68% EC
37 Entegris Inc ENTG Apr 2024 56,949 +29,211 $4.5M +22.2% 1.66% EC
38 Choice Hotels International In CHH Apr 2024 35,703 +20,775 $4.5M +155.0% 1.65% EC
39 Terreno Realty Corp TRNO Apr 2024 79,772 +46,652 $4.5M +149.6% 1.65% EC
40 Cactus Inc WHD Apr 2024 117,865 +69,013 $4.5M +84.4% 1.64% EC
41 Clearwater Analytics Holdings CWAN Apr 2025 193,295 New $4.4M 1.61% EC
42 Pool Corp POOL Apr 2024 14,818 +8,194 $4.3M +80.9% 1.60% EC
43 Repligen Corp RGEN Apr 2024 30,704 +17,845 $4.2M +100.7% 1.56% EC
44 Werner Enterprises Inc WERN Apr 2024 122,865 +71,943 $3.0M +74.0% 1.11% EC
Williams-Sonoma Inc 969904101 17,019 Exited $4.9M
KBR Inc 48242W106 43,884 Exited $2.8M
Summit Materials Inc 86614U100 68,724 Exited $2.7M
Lattice Semiconductor Corp 518415104 32,813 Exited $2.3M
Teledyne Technologies Inc 879360105 5,631 Exited $2.1M
Option Care Health Inc 68404L201 68,360 Exited $2.0M
DoubleVerify Holdings Inc 25862V105 60,102 Exited $1.8M
Paycom Software Inc 70432V102 7,452 Exited $1.4M
Calix Inc 13100M509 45,130 Exited $1.3M