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Reported Holdings Of The
William Blair Investment Management LLC

Legal Name: WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC

Period of report: Jun 30, 2019
Effectiveness Date: Aug 9, 2019

Security Shares Held / Principal Amount Market Value Option
ALIBABA GROUP HLDG LTD (01609W102) 5,866,396 $993,904k
COPART INC (217204106) 5,258,517 $393,022k
BWX Technologies (BWXT) (05605H100) 7,012,266 $365,339k
BROOKFIELD ASSET MGT (112585104) 7,356,280 $351,483k
CDN NATL RAILWAY (136375102) 3,523,264 $325,777k
BURLINGTON STORES (122017106) 1,762,083 $299,818k
CBOE GLOBAL MARKETS INC (12503M108) 2,397,226 $248,425k
COSTAR GROUP INC (22160N109) 426,793 $236,469k
B. Riley Wealth Management, Inc. (099502106) 3,420,493 $226,471k
Amazon.com Inc (023135106) 117,805 $223,079k
ABIOMED INC (003654100) 815,524 $212,436k
ADTALEM GLOBAL ED INC (00737L103) 4,697,318 $211,614k
CREDICORP LTD (G2519Y108) 887,573 $203,174k
ASPEN TECHNOLOGY INC (045327103) 1,562,187 $194,149k
CHECK POINT SOFTWARE (M22465104) 1,615,693 $186,790k
ALPHABET INC (02079K305) 157,659 $170,713k
CABLE ONE INC (12685J105) 132,761 $155,462k
BJ'S WHOLESALE CLUB HOLDINGS (05550J101) 5,465,561 $144,291k
AVALARA INC (05338G106) 1,885,194 $136,111k
BRINKS COMPANY (109696104) 1,668,921 $135,483k
Catalent (148806102) 2,355,590 $127,697k
CAMBREX CORP (132011107) 2,639,861 $123,572k
AMEDISYS INC (023436108) 988,533 $120,018k
CDN PACIFIC RAILWAY (13645T100) 488,994 $115,031k
ADOBE INC (00724F101) 363,030 $106,967k
CROWN HOLDINGS INC (228368106) 1,523,046 $93,058k
AXALTA COATING SYS LTD (G0750C108) 2,883,171 $85,832k
COLLIERS INTERNATIONAL GROUP INC (194693107) 1,000,049 $71,624k
BlackRock, Inc. (09247X101) 123,147 $57,793k
ACCENTURE PLC IRELAND (G1151C101) 308,674 $57,034k
Ball Corp. (058498106) 743,929 $52,068k
AMBEV SA (02319V103) 11,056,231 $51,626k
Boeing Co/The (097023105) 122,950 $44,755k
Aptiv PLC (G6095L109) 545,257 $44,073k
COCA-COLA CO (191216100) 861,447 $43,865k
BRIGHTSPHERE INVESTMENT GROU (G1644T109) 3,672,966 $41,909k
COSTCO WHSL CORP (22160K105) 150,192 $39,690k
ABBOTT LABS (002824100) 452,832 $38,083k
Cyberark Software Ltd (M2682V108) 295,551 $37,783k
ACTIVISION BLIZZARD INC (00507V109) 706,711 $33,357k
CTRIP COM INTL LTD (22943F100) 894,059 $33,000k
ALLEGION PLC (G0176J109) 295,425 $32,659k
ADVANCE AUTO PARTS (00751Y106) 206,814 $31,878k
ALIGN TECHNOLOGY INC (016255101) 113,369 $31,029k
DARLING INGREDIENTS INC (237266101) 1,491,404 $29,664k
CONMED CORP COM (207410101) 320,735 $27,445k
BLUE BIRD CORP (095306106) 1,329,388 $26,176k
AGILYSYS INC (00847J105) 1,157,044 $24,842k
Autodesk Inc (052769106) 150,875 $24,578k
Boot Barn Holdings Inc (099406100) 664,574 $23,685k
AGILENT TECHNOLOGIES INC (00846U101) 313,710 $23,425k
Curtiss Wright Corp (231561101) 183,314 $23,305k
CASELLA WASTE SYSTEMS INC-A (147448104) 584,461 $23,162k
Aon, PLC (G0408V102) 119,964 $23,151k
BRADY CORPORATION - CL A (104674106) 455,202 $22,451k
Callon Petroleum Co (13123X102) 3,324,689 $21,910k
Alphabet Inc (02079K107) 20,054 $21,677k
BANK OF NT BUTTERFIELD & SON LTD (G0772R208) 637,978 $21,666k
ARGAN INC (04010E109) 506,786 $20,555k
CAMECO CORP (13321L108) 1,833,603 $19,675k
ARMSTRONG WORLD INDUSTRIES (04247X102) 200,438 $19,483k
AMERICOLD RLTY TR (03064D108) 598,694 $19,410k
CARMAX INC (143130102) 221,412 $19,225k
ACUITY BRANDS INC (00508Y102) 137,554 $18,970k
ADVANCED MICRO DEVICES INC (007903107) 619,112 $18,802k
CARTERS INC (146229109) 191,400 $18,669k
CORESITE REALTY CORP (21870Q105) 157,188 $18,103k
AVNET (053807103) 396,710 $17,959k
ACADIA REALTY TRUST (004239109) 655,380 $17,938k
ARISTA NETWORKS INC (040413106) 68,717 $17,840k
BELDEN INC (077454106) 299,279 $17,828k
CONTINENTAL BUILDING PRODUCT (211171103) 656,423 $17,441k
CENTENE CORP DEL (15135B101) 332,254 $17,423k
Albany International Corp (012348108) 209,727 $17,388k
Banner Corp (06652V208) 318,124 $17,226k
DANA HOLDING CORP COM (235825205) 850,103 $16,951k
Codexis Inc (192005106) 895,603 $16,506k
Archrock Inc (03957W106) 1,510,555 $16,012k
CRYOLIFE INC (228903100) 523,067 $15,655k
CAVCO INDS INC DEL (149568107) 98,375 $15,498k
AMERICAN ASSETS TRUST INC (024013104) 320,821 $15,117k
CARPENTER TECHNOLOGY CORP (144285103) 311,801 $14,960k
Calavo Growers Inc (128246105) 149,441 $14,457k
CONAGRA BRANDS INC (205887102) 544,713 $14,446k
BANCO SANTANDER CHILE NEW (05965X109) 465,226 $13,920k
Conseco Inc (12621E103) 829,848 $13,842k
CINEMARK HOLDINGS (17243V102) 376,645 $13,597k
BANCOLOMBIA S A (05968L102) 265,620 $13,557k
Black Hills Corp. (092113109) 167,927 $13,127k
2U Inc (90214J101) 345,008 $12,986k
ABERCROMBIE & FITCH CO (002896207) 791,277 $12,692k
BOSTON PRIVATE FINL HOLDING (101119105) 1,019,921 $12,310k
Celanese (CE) (150870103) 105,233 $11,344k
BANC OF CALIFORNIA (05990K106) 806,573 $11,268k
CVB FINANCIAL CORP (126600105) 531,543 $11,178k
CARS.COM INC (14575E105) 547,324 $10,793k
COLUMBIA PPTY TR INC (198287203) 518,924 $10,762k
AGREE REALTY CORP (008492100) 167,265 $10,713k
DAVE & BUSTER'S EN (238337109) 260,292 $10,534k
CHESAPEAKE UTILS COR (165303108) 110,080 $10,460k
AXOGEN INC COM (05463X106) 481,281 $9,529k
CAREDX INC COM (14167L103) 263,334 $9,477k
CENTENNIAL RESOURCE (15136A102) 777,367 $5,900k
Aspen Group (04530L203) 1,260,875 $4,791k
ALCON INC (H01301128) 71,789 $4,455k
ASTRAZENECA (046353108) 106,502 $4,396k
AMERICAN CAMPUS CMNTYS INC (024835100) 88,664 $4,093k
COTT CORP QUE (22163N106) 186,633 $2,492k
AZUL SA SPON ADR EACH REP 3 PFD SHS (05501U106) 58,126 $1,944k
Brown & Brown, Inc. (115236101) 49,895 $1,671k
AFFILIATED MANAGERS GROUP IN (008252108) 7,425 $684k
Concho Resources Inc (20605P101) 5,823 $601k

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