Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
ATLANTA CAPITAL MANAGEMENT CO L L C 11-13-2019 09-30-2019 158 23,045,137,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
ARAMARK COM 1 $827,461,000 18,987,183 3.59 2.99 521,686 2.83 09-30-2019
BERKLEY W R CORP COM 2 $738,014,000 10,217,558 3.20 3.22 -679,611 -6.24 09-30-2019
TELEFLEX INC COM 3 $729,150,000 2,146,136 3.16 3.59 -270,591 -11.20 09-30-2019
TRANSUNION COM 4 $701,662,000 8,650,751 3.04 2.87 -54,787 -0.63 09-30-2019
SERVICEMASTER GLOBAL HLDGS I COM 5 $629,011,000 11,252,436 2.73 2.65 -81,014 -0.71 09-30-2019
MANHATTAN ASSOCS INC COM 6 $560,694,000 6,950,461 2.43 2.22 -184,120 -2.58 09-30-2019
APTARGROUP INC COM 7 $464,514,000 3,921,606 2.02 2.35 -290,239 -6.89 09-30-2019
HENRY SCHEIN INC COM 8 $464,377,000 7,313,031 2.02 1.99 969,751 15.29 09-30-2019
HUNT J B TRANS SVCS INC COM 9 $459,791,000 4,155,368 2.00 1.73 -53,964 -1.28 09-30-2019
WEX INC COM 10 $448,715,000 2,220,593 1.95 2.08 -3,341 -0.15 09-30-2019
BLACKBAUD INC COM 11 $410,583,000 4,544,861 1.78 1.71 -16,511 -0.36 09-30-2019
CDW CORP COM 12 $398,319,000 3,232,056 1.73 2.44 -1,661,667 -33.96 09-30-2019
LENNOX INTL INC COM 13 $388,559,000 1,599,206 1.69 1.96 8,926 0.56 09-30-2019
CARLISLE COS INC COM 14 $386,550,000 2,655,968 1.68 1.68 -4,557 -0.17 09-30-2019
KIRBY CORP COM 15 $360,280,000 4,385,108 1.56 1.55 8,740 0.20 09-30-2019
MARKEL CORP COM 16 $345,960,000 292,715 1.50 1.43 1,060 0.36 09-30-2019
CHOICE HOTELS INTL INC COM 17 $338,902,000 3,809,596 1.47 1.25 598,937 18.65 09-30-2019
SEI INVESTMENTS CO COM 18 $332,317,000 5,608,255 1.44 1.42 -15,895 -0.28 09-30-2019
GARTNER INC COM 19 $296,039,000 2,070,347 1.28 1.20 410,910 24.76 09-30-2019
IDEX CORP COM 20 $291,845,000 1,780,846 1.27 1.51 -176,025 -9.00 09-30-2019
DENTSPLY SIRONA INC COM 21 $288,140,000 5,404,991 1.25 1.22 731,952 15.66 09-30-2019
COLUMBIA SPORTSWEAR CO COM 22 $287,411,000 2,966,359 1.25 1.34 -5,155 -0.17 09-30-2019
VISA INC COM CL A 23 $285,979,000 1,662,571 1.24 1.22 101,521 6.50 09-30-2019
FRONTDOOR INC COM 24 $265,310,000 5,462,423 1.15 1.07 -27,353 -0.50 09-30-2019
BIO TECHNE CORP COM 25 $265,098,000 1,354,821 1.15 1.26 3,484 0.26 09-30-2019
THERMO FISHER SCIENTIFIC INC COM 26 $264,451,000 907,925 1.15 1.09 79,945 9.66 09-30-2019
LANDSTAR SYS INC COM 27 $262,376,000 2,330,577 1.14 1.13 -6,850 -0.29 09-30-2019
ALPHABET INC CAP STK CL C 28 $258,814,000 212,317 1.12 0.79 48,708 29.77 09-30-2019
ANSYS INC COM 29 $255,220,000 1,152,963 1.11 1.67 -661,423 -36.45 09-30-2019
DANAHER CORPORATION COM 30 $251,066,000 1,738,325 1.09 1.03 139,820 8.75 09-30-2019
BIO RAD LABS INC CL A 31 $250,650,000 753,292 1.09 1.06 -2,343 -0.31 09-30-2019
FAIR ISAAC CORP COM 32 $248,848,000 819,872 1.08 1.23 -54,424 -6.22 09-30-2019
UMPQUA HLDGS CORP COM 33 $248,093,000 15,072,450 1.08 1.08 628,642 4.35 09-30-2019
PROSPERITY BANCSHARES INC COM 34 $234,770,000 3,323,940 1.02 0.97 42,509 1.30 09-30-2019
MORNINGSTAR INC COM 35 $233,707,000 1,599,196 1.01 1.10 -99,889 -5.88 09-30-2019
NORDSON CORP COM 36 $230,731,000 1,577,539 1.00 1.00 -3,581 -0.23 09-30-2019
RPM INTL INC COM 37 $225,995,000 3,284,328 0.98 0.90 -3,017 -0.09 09-30-2019
FLIR SYS INC COM 38 $218,315,000 4,151,270 0.95 1.00 13,490 0.33 09-30-2019
BROADRIDGE FINL SOLUTIONS IN COM 39 $215,389,000 1,731,004 0.93 1.00 -17,520 -1.00 09-30-2019
SENSIENT TECHNOLOGIES CORP COM 40 $212,180,000 3,090,745 0.92 1.02 566 0.02 09-30-2019
ACUITY BRANDS INC COM 41 $207,086,000 1,536,359 0.90 0.95 5,227 0.34 09-30-2019
FISERV INC COM 42 $205,188,000 1,980,767 0.89 0.75 145,622 7.94 09-30-2019
HENRY JACK & ASSOC INC COM 43 $204,984,000 1,404,291 0.89 0.83 22,531 1.63 09-30-2019
AMERICAN TOWER CORP NEW COM 44 $201,414,000 910,841 0.87 0.77 67,406 7.99 09-30-2019
JONES LANG LASALLE INC COM 45 $199,649,000 1,435,707 0.87 0.89 20,508 1.45 09-30-2019
MASTERCARD INC CL A 46 $196,103,000 722,108 0.85 0.86 1,634 0.23 09-30-2019
SALLY BEAUTY HLDGS INC COM 47 $190,504,000 12,794,111 0.83 0.76 33,280 0.26 09-30-2019
TJX COS INC NEW COM 48 $184,414,000 3,308,461 0.80 0.70 363,968 12.36 09-30-2019
MICROSOFT CORP COM 49 $184,373,000 1,326,141 0.80 0.81 -18,764 -1.40 09-30-2019
DOLLAR GEN CORP NEW COM 50 $177,433,000 1,116,353 0.77 0.63 81,072 7.83 09-30-2019
SERVICE CORP INTL COM 51 $170,656,000 3,569,459 0.74 0.75 -11,203 -0.31 09-30-2019
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