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Reported Holdings Of The
Cookson Peirce & Co Inc

Legal Name: COOKSON PEIRCE & CO INC

Period of report: Jun 30, 2019
Effectiveness Date: Jul 31, 2019

Security Shares Held / Principal Amount Market Value Option
ABBOTT LABS (002824100) 575,813 $48,426k
Linde PLC (G5494J103) 202,274 $40,617k
UNION PAC CORP (907818108) 226,497 $38,303k
AMERICAN TOWER CORP NEW (03027X100) 182,356 $37,283k
PAYCOM SOFTWARE (70432V102) 150,423 $34,104k
PROCTER & GAMBLE CO (742718109) 291,927 $32,010k
Xilinx Inc (983919101) 265,384 $31,294k
Netflix Inc (64110L106) 78,979 $29,011k
CISCO SYSTEMS INC (17275R102) 529,081 $28,957k
VMware (VMW) (928563402) 168,064 $28,102k
WILLIS TOWERS WATSON PLC SHS (G96629103) 145,361 $27,842k
MICROSOFT CORP (594918104) 205,618 $27,545k
TRANSDIGM GROUP INC COM (893641100) 56,567 $27,367k
AFLAC INC (001055102) 491,681 $26,949k
AES CORP (00130H105) 1,557,393 $26,102k
HILTON WRLDWDE HLDGS (43300A203) 258,457 $25,262k
INGERSOLL-RAND PLC (G47791101) 196,767 $24,924k
Aon, PLC (G0408V102) 121,173 $23,384k
Illumina Inc (452327109) 63,173 $23,257k
ULTA BEAUTY INC (90384S303) 65,371 $22,677k
AMETEK INC (031100100) 241,145 $21,906k
DARDEN RESTAURANT (237194105) 166,323 $20,246k
CLOROX CO (189054109) 128,298 $19,644k
COSTCO WHSL CORP (22160K105) 72,532 $19,167k
THE TRADE DESK (88339J105) 82,940 $18,892k
EXELON CORP (30161N101) 376,379 $18,044k
CREE INC (225447101) 315,243 $17,710k
CHURCH & DWIGHT INC (171340102) 239,848 $17,523k
BROADCOM INC (11135F101) 60,830 $17,511k
Verisk Analytics Inc (92345Y106) 118,575 $17,366k
MCDONALDS CORP (580135101) 80,919 $16,804k
MOODYS CORP (615369105) 85,424 $16,684k
ASTRAZENECA (046353108) 364,129 $15,031k
THE HERSHEY COMPANY (427866108) 111,759 $14,979k
OMEGA HEALTHCARE INV (681936100) 378,724 $13,918k
ASPEN TECHNOLOGY INC (045327103) 102,365 $12,722k
Ball Corp. (058498106) 175,488 $12,282k
HCA HEALTHCARE (40412C101) 84,081 $11,365k
PROGRESSIVE CORP (743315103) 134,825 $10,777k
HONEYWELL INTL INC (438516106) 60,812 $10,617k
DUNKIN BRANDS GR (265504100) 126,631 $10,087k
TRACTOR SUPPLY CO (892356106) 88,245 $9,601k
TELEFLEX INC (879369106) 28,000 $9,272k
COUPA SOFTWARE INC COM (22266L106) 70,240 $8,893k
SANDERSON FARMS INC (800013104) 64,270 $8,777k
FASTENAL CO (311900104) 263,521 $8,588k
KEYSIGHT TECHNOLOGS (49338L103) 95,301 $8,559k
COMCAST CORP (20030N101) 201,105 $8,503k
OKTA INC CL A (679295105) 67,895 $8,386k
RENAISSANCE RE HLDGS (G7496G103) 46,710 $8,315k
HAEMONETICS CORP/MASS (405024100) 61,275 $7,374k
ROSS STORES INC (778296103) 69,736 $6,912k
Invesco BulletShares 2024 Corp Bd ETF (46138J841) 320,860 $6,818k
Invesco BulletShares 2023 Corp Bd ETF (46138J866) 320,613 $6,783k
INVESCO EXCH TRD SLF IDX FD (46138J882) 315,871 $6,758k
Invesco Bullestshares 2021 (BS (46138J700) 316,651 $6,710k
Invesco BulletShares 2020 Corp Bd ETF (46138J502) 313,757 $6,670k
Thermo Fisher Scientific Inc (883556102) 20,086 $5,899k
WOODWARD INC (980745103) 48,726 $5,514k
STARBUCKS CORP (855244109) 62,344 $5,226k
DOLLAR TREE INC (256746108) 48,615 $5,221k
UNILEVER N.V (904784709) 85,928 $5,218k
MASTERCARD INC (57636Q104) 18,768 $4,965k
OLLIES BARGAIN OUT (681116109) 56,557 $4,927k
VEEVA SYS INC CL A COM (922475108) 30,130 $4,884k
PAYCHEX INC (704326107) 51,307 $4,222k
ACI WORLDWIDE INC (004498101) 102,940 $3,535k
INVESCO EXCH TRD SLF IDX FD (46138J791) 168,796 $3,405k
Invesco BulletShares 2025 Corp Bd ETF (46138J825) 160,255 $3,391k
KLA-TENCOR CORP (482480100) 26,930 $3,183k
CIENA CORPORATION (171779309) 75,581 $3,109k
CINCINNATI FINL CORP (172062101) 29,610 $3,070k
ANSYS Inc (03662Q105) 13,915 $2,850k
TETRA TECH (88162G103) 31,500 $2,474k
WASTE CONNECTIONS INC (94106B101) 22,462 $2,147k
YUM BRANDS INC (988498101) 18,307 $2,026k
JOHNSON & JOHNSON (478160104) 14,371 $2,002k
CHEMED CORPORATION (16359R103) 5,420 $1,956k
MOLINA HEALTHCARE INC (60855R100) 12,915 $1,849k
ONEOK Inc (682680103) 26,774 $1,842k
SMITH & NEPHEW PLC (83175M205) 36,010 $1,568k
RINGCENTRAL INC-CLASS A (76680R206) 12,115 $1,392k
Deckers Outdoor Corp (243537107) 7,850 $1,381k
GARTNER INC (366651107) 8,409 $1,353k
HEICO Corp (422806109) 9,695 $1,297k
V F CORP (918204108) 14,254 $1,245k
ENPHASE ENERGY INC COM USD0.00001 (29355A107) 65,585 $1,196k
DOLLAR GEN CORP (256677105) 8,500 $1,149k
EDWARDS LIFESCIENCE (28176E108) 6,125 $1,132k
WORKDAY INC COM USD0.001 CL A (98138H101) 5,284 $1,086k
ISHARES TR EXPANDED TECH (464287515) 4,600 $1,005k
MARKETAXESS HLDGS (57060D108) 2,894 $930k
NIKE INC (654106103) 10,576 $888k
LULULEMON ATHLETICA (550021109) 4,850 $874k
EQUINIX INC (29444U700) 1,721 $868k
LendingTree Inc (52603B107) 1,990 $836k
EXTRA SPACE STORAGE (30225T102) 7,225 $767k
MSA SAFETY INC (553498106) 7,130 $751k
DISNEY WALT CO (254687106) 5,341 $746k
INVESCO EXCHNG TRADED FD TR S&P500 HDL VOL (46138E362) 17,540 $739k
DANAHER CORP (235851102) 5,084 $727k
Splunk Inc (848637104) 5,595 $704k
TAKE-TWO INTERACTIVE (874054109) 6,080 $690k
VERISIGN INC (92343E102) 3,210 $671k
TRAVELERS CO(THE) (89417E109) 4,375 $654k
VANECK VECTORS ETF TR MORNINGSTAR WIDE (92189F643) 13,585 $652k
ISHARES GLOBAL CONSUMER DISC (464288745) 5,470 $648k
ISHARES TR (464287572) 13,115 $641k
ISHARES TR U.S. MED DVC ETF (464288810) 2,610 $628k
VERIZON COMMUNICATIONS (92343V104) 10,590 $605k
PEPSICO INC (713448108) 4,492 $589k
VISA INC COM CL A (92826C839) 3,346 $581k
ISHARES TR US AER DEF ETF (464288760) 2,660 $570k
WALMART INC COM (931142103) 5,048 $558k
NOVARTIS AG (66987V109) 5,970 $545k
NVIDIA Corp (67066G104) 3,315 $544k
VANGUARD INDEX FDS VALUE ETF (922908744) 4,851 $538k
ISHARES TR (464287523) 2,680 $532k
WYNN RESORTS LTD (983134107) 4,290 $532k
FORTINET INC (34959E109) 6,780 $521k
FACTSET RESH SYS INC (303075105) 1,815 $520k
SONY CORP-ADR (B:SNE US) (835699307) 9,490 $497k
ISHARES INC (464286608) 10,985 $435k
SPDR SERIES TRUST (78464A789) 11,795 $401k
MERCK & CO INC (58933Y105) 4,775 $400k
ISHARES (464286665) 8,455 $399k
ISHARES TR (464288372) 8,435 $390k
Catalent (148806102) 7,095 $385k
CRISPR Therapeutics AG (H17182108) 8,105 $382k
FLUIDIGM CORP (34385P108) 30,710 $378k
UNITED AIRLINES HLDG (910047109) 4,244 $372k
CASELLA WASTE SYSTEMS INC-A (147448104) 9,300 $369k
O'REILLY AUTOMOTIVE (67103H107) 925 $342k
SWITCH INC A (87105L104) 24,215 $317k
STERIS PLC (G8473T100) 2,110 $314k
ISHARES TR (464288711) 5,485 $299k
BOSTON BEER INC (100557107) 775 $293k
LILLY ELI & CO (532457108) 2,622 $290k
ADVANCED MICRO DEVICES INC (007903107) 9,219 $280k
ATLASSIAN CORPORATION PLC COM USD0.1 CL A (G06242104) 2,095 $274k
VIAVI SOLUTIONS INC COM (925550105) 20,205 $269k
CADENCE DESIGN SYS (127387108) 3,661 $259k
iShares MSCI Hong Kong ETF (464286871) 9,485 $245k
SAP SE (803054204) 1,720 $235k
VARIAN MED SYS INC (92220P105) 1,625 $221k
INVESCO EXCHANGE TRADED FD T (46137V258) 3,275 $213k

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