Oak Ridge Investments

Latest statistics and disclosures from OAK RIDGE INVESTMENTS's latest quarterly 13F-HR filing:

OAK RIDGE INVESTMENTS portfolio companies for December 2015 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Epam Systems 3.36 -25.00% 1785797 78.62 0.00
MIDD Middleby Corporation 3.10 1199308 107.87 106.86
AOS A. O. Smith Corporation 2.80 1527890 76.61 62.81
Ligand Pharmaceuticals In 2.48 955599 108.42 0.00
WCN Waste Connections 2.35 1738600 56.32 47.19
WSO Watsco, Incorporated 2.35 836301 117.13 117.82
SLH Solera Holdings 2.24 1709117 54.83 50.88
SNCR Synchronoss Technologies 2.16 +25.00% 2554166 35.23 41.93
FTNT Fortinet 2.12 2842244 31.17 33.20
MMS MAXIMUS 2.09 1552672 56.25 61.29
Acadia Healthcare 2.05 1367708 62.46 0.00
AKRX Akorn 1.97 -53.00% 2205967 37.31 47.03
Bankunited 1.89 2186925 36.06 0.00
Globus Med Inc cl a 1.89 2840715 27.82 0.00
OMCL Omnicell 1.88 2524757 31.08 31.66
MNRO Monro Muffler Brake 1.86 1173373 66.22 62.59
Bright Horizons Fam Sol In D 1.83 NEW 1145276 66.80 0.00
Acceleron Pharma 1.78 1522967 48.76 0.00
BECN Beacon Roofing Supply 1.75 1772412 41.18 27.51
TXRH Texas Roadhouse 1.75 2042361 35.77 36.16
POOL Pool Corporation 1.68 +36.00% 869523 80.78 67.65
Burlington Stores 1.66 -3.00% 1612007 42.90 0.00
ABMD ABIOMED 1.56 +20.00% 721220 90.28 58.77
SIRO Sirona Dental Systems 1.54 585891 109.57 89.32
VRTU Virtusa Corporation 1.48 -6.00% 1499179 41.34 38.54
Pra 1.48 1775855 34.69 0.00
SLAB Silicon Laboratories 1.46 1256004 48.54 50.30
Pacira Pharmaceuticals 1.43 777411 76.79 0.00
CORE Core-Mark Holding Company 1.33 677997 81.94 58.67
DEPO DepoMed 1.32 +32.00% 3044921 18.13 24.18
ANSS ANSYS 1.31 589336 92.50 85.06
LKQX LKQ Corporation 1.24 1748475 29.63 0.00
RMBS Rambus 1.18 4261587 11.59 12.31
La Quinta Holdings 1.18 -3.00% 3630286 13.61 0.00
AAPL Apple 1.12 443997 105.26 123.28
SPNC Spectranetics Corporation 1.08 -3.00% 2987750 15.06 33.93
Proofpoint 1.06 680073 65.01 0.00
Ellie Mae 1.05 +34.00% 731184 60.23 0.00
UNFI United Natural Foods 1.02 -3.00% 1083481 39.36 73.98
Clubcorp Hldgs 1.00 +8.00% 2288769 18.27 0.00
Fireeye 0.98 -3.00% 1966461 20.74 0.00
QLIK Qlik Technologies 0.95 1257288 31.66 31.00
Sage Therapeutics 0.91 651420 58.30 0.00
Wright Express 0.83 389785 88.40 0.00
SF Stifel Financial 0.77 762780 42.36 54.51
Pdc Energy 0.64 502600 53.38 0.00
Nevro 0.64 394636 67.51 0.00
International Equity Fund 0.63 2500000 10.56 0.00
DECK Deckers Outdoor Corporation 0.62 551318 47.20 72.60
Allergan 0.62 -2.00% 82239 312.50 0.00
DHR Danaher Corporation 0.61 275404 92.88 84.59
Prothena 0.61 376746 68.11 0.00
Alphabet Inc Class A cs 0.61 +8.00% 32484 778.02 0.00
V Visa 0.59 318600 77.55 266.74
AMZN Amazon 0.59 36437 675.88 372.62
CHD Church & Dwight 0.58 285551 84.88 83.20
Aduro Biotech 0.56 NEW 835837 28.14 0.00
O'reilly Automotive 0.54 -29.00% 88593 253.42 0.00
CELG Celgene Corporation 0.53 183728 119.76 118.26
Nimble Storage 0.53 -3.00% 2387145 9.20 0.00
Alphabet Inc Class C cs 0.53 +9.00% 29196 758.90 0.00
CAH Cardinal Health 0.49 228799 89.27 87.33
CVS CVS Caremark Corporation 0.48 205411 97.77 101.90
SEAC SeaChange International 0.48 2999691 6.74 7.40
AME AMETEK 0.47 364798 53.59 51.35
Facebook Inc cl a 0.47 187950 104.66 0.00
LLY Eli Lilly & Co. 0.46 228647 84.26 68.81
VRSK Verisk Analytics 0.46 247359 76.88 69.61
CTXS Citrix Systems 0.43 237116 75.65 59.63
ECL Ecolab 0.42 152517 114.38 115.32
ULTA Ulta Salon, Cosmetics & Fragrance 0.42 -4.00% 95727 185.00 141.66
Dbv Technologies S A 0.42 NEW 482560 36.31 0.00
RRTS Roadrunner Transportation Services Hold. 0.41 -6.00% 1809745 9.43 25.21
Intercontinentalexchange 0.38 61393 256.25 0.00
PEP Pepsi 0.37 155438 99.92 93.96
UNH UnitedHealth 0.37 131132 117.64 113.33
PCLN priceline.com Incorporated 0.36 11833 1274.95 1190.00
ITW Illinois Tool Works 0.35 157279 92.68 96.27
ROST Ross Stores 0.34 267084 53.81 105.22
ADS Alliance Data Systems Corporation 0.34 51445 276.57 275.30
AMG Affiliated Managers 0.31 -8.00% 82054 159.76 209.73
INTC Intel Corporation 0.30 362908 34.45 32.76
GILD Gilead Sciences 0.30 123255 101.19 99.53
GPOR Gulfport Energy Corporation 0.30 -26.00% 511041 24.57 42.89
KEYW KEYW Holding 0.30 -2.00% 2089385 6.02 7.37
CTSH Cognizant Technology Solutions 0.29 199483 60.02 60.57
SBUX Starbucks Corporation 0.29 204806 60.03 92.23
Mondelez Int 0.29 273013 44.84 0.00
SBH Sally Beauty Holdings 0.26 388721 27.89 32.97
Rsp Permian 0.26 +99.00% 449723 24.39 0.00
Hortonworks 0.26 493144 21.90 0.00
Ionis Pharmaceuticals 0.26 NEW 177748 61.93 0.00
VFC V.F. Corporation 0.25 165444 62.25 73.33
INCY Incyte Corporation 0.24 -2.00% 91621 108.44 88.43
Perrigo Company 0.23 65881 144.71 0.00
ALXN Alexion Pharmaceuticals 0.22 47867 190.76 179.76
HBI Hanesbrands 0.21 -4.00% 294120 29.43 32.16
BIIB Biogen Idec 0.21 28272 306.34 415.20
TDG TransDigm Group Incorporated 0.21 38552 228.46 214.68
CERN Cerner Corporation 0.20 135704 60.17 69.83
SRCL Stericycle 0.20 67836 120.59 135.67
Express Scripts Holding 0.19 91840 87.41 0.00
HAIN Hain Celestial 0.18 -28.00% 187823 40.39 60.12
HD Home Depot 0.15 46244 132.25 113.11
EOG EOG Resources 0.14 -5.00% 84649 70.80 86.44
Fleetmatics 0.14 NEW 112500 50.79 0.00
MSFT Microsoft Corporation 0.13 97757 55.48 42.00
SNA Snap-on Incorporated 0.13 31870 171.42 142.04
CMG Chipotle Mexican Grill 0.13 NEW 10888 479.89 665.38
IWO iShares Russell 2000 Growth Index 0.13 +189.00% 40013 139.28 146.64
IT Gartner 0.12 55873 90.71 80.12
Fortune Brands 0.12 91835 55.50 0.00
TJX TJX Companies 0.11 64589 70.91 67.66
APH Amphenol Corporation 0.10 77749 52.23 57.35
TFX Teleflex Incorporated 0.10 32077 131.46 119.71
Sabre 0.10 NEW 142949 27.97 0.00
STZ Constellation Brands 0.09 26259 142.43 115.30
VMC Vulcan Materials Company 0.08 35961 94.96 82.73
Dunkin' Brands 0.08 -3.00% 76480 42.59 0.00
TWX Time Warner 0.07 -9.00% 46813 64.66 83.25
MA MasterCard Incorporated 0.07 NEW 28880 97.37 87.52
LEN Lennar Corporation 0.07 NEW 61291 48.91 48.23
MAR Marriott International 0.07 -57.00% 45624 67.05 81.60
RHI Robert Half International 0.07 61848 47.15 59.74
PAG Penske Automotive 0.07 65657 42.34 48.36
2060000 Power Solutions International 0.07 152100 18.25 0.00
IWZ iShares Russell 3000 Growth Index 0.06 +782.00% 30622 81.18 73.70
IWF iShares Russell 1000 Growth Index 0.04 +410.00% 16598 99.47 97.71
Diamondback Energy 0.04 24042 66.88 0.00
Kinder Morgan 0.02 -9.00% 55170 14.92 0.00
BLK BlackRock 0.01 795 340.88 357.74
CME CME 0.01 2334 90.40 95.64
JPM JPMorgan Chase & Co. 0.01 4317 66.02 60.16
BA Boeing Company 0.01 2054 144.60 152.38
AET Aetna 0.01 2239 108.08 100.76
AMGN Amgen 0.01 NEW 1408 162.64 153.92
SHPGY Shire 0.01 1101 205.27 0.00
IWP iShares Russell Midcap Growth Idx. 0.01 NEW 6114 91.92 95.82
GM General Motors Company 0.01 NEW 6288 34.03 37.89
Actelion Ltd-reg 0.01 2345 139.45 0.00
Innate Pharma Sa Class A - F S shs 0.01 25110 14.70 0.00
D Stemline Therapeutics 0.00 -24.00% 10275 6.33 0.00

Past 13F-HR SEC Filings for OAK RIDGE INVESTMENTS