Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
ATLANTA CAPITAL MANAGEMENT CO L L C 08-13-2019 06-30-2019 160 22,281,685,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
TELEFLEX INC COM 1 $800,299,000 2,416,727 3.59 3.48 12,179 0.51
BERKLEY W R CORP COM 2 $718,450,000 10,897,169 3.22 3.25 2,899,769 36.26
ARAMARK COM 3 $665,866,000 18,465,497 2.99 2.41 1,456,182 8.56
TRANSUNION COM 4 $639,944,000 8,705,538 2.87 2.89 -310,670 -3.45
SERVICEMASTER GLOBAL HLDGS I COM 5 $590,359,000 11,333,450 2.65 2.66 -555,236 -4.67
CDW CORP COM 6 $543,203,000 4,893,723 2.44 2.39 -283,340 -5.47
APTARGROUP INC COM 7 $523,701,000 4,211,845 2.35 2.19 -75,909 -1.77
MANHATTAN ASSOCS INC COM 8 $494,641,000 7,134,581 2.22 1.97 -336,319 -4.50
WEX INC COM 9 $462,801,000 2,223,934 2.08 1.85 211,481 10.51
HENRY SCHEIN INC COM 10 $443,395,000 6,343,280 1.99 1.82 30,201 0.48
LENNOX INTL INC COM 11 $437,327,000 1,590,280 1.96 2.01 6,721 0.42
HUNT J B TRANS SVCS INC COM 12 $384,775,000 4,209,332 1.73 1.70 706,693 20.18
BLACKBAUD INC COM 13 $380,875,000 4,561,372 1.71 1.74 2,292 0.05
CARLISLE COS INC COM 14 $373,564,000 2,660,525 1.68 1.91 -594,432 -18.26
ANSYS INC COM 15 $371,623,000 1,814,386 1.67 1.58 11,402 0.63
KIRBY CORP COM 16 $345,733,000 4,376,368 1.55 1.58 -26,621 -0.60
IDEX CORP COM 17 $336,856,000 1,956,871 1.51 1.41 19,000 0.98
MARKEL CORP COM 18 $317,787,000 291,655 1.43 1.38 1,651 0.57
SEI INVESTMENTS CO COM 19 $315,515,000 5,624,150 1.42 1.40 45,892 0.82
COLUMBIA SPORTSWEAR CO COM 20 $297,627,000 2,971,514 1.34 1.30 369,222 14.19
BIO TECHNE CORP COM 21 $281,740,000 1,351,337 1.26 1.27 10,980 0.82
CHOICE HOTELS INTL INC COM 22 $279,359,000 3,210,659 1.25 1.21 -45,997 -1.41
FAIR ISAAC CORP COM 23 $274,546,000 874,296 1.23 1.52 -293,991 -25.16
DENTSPLY SIRONA INC COM 24 $272,719,000 4,673,039 1.22 1.10 39,156 0.84
VISA INC COM CL A 25 $270,920,000 1,561,050 1.22 1.17 -6,789 -0.43
GARTNER INC COM 26 $267,070,000 1,659,437 1.20 1.20 13,583 0.83
LANDSTAR SYS INC COM 27 $252,419,000 2,337,427 1.13 1.22 1,063 0.05
MORNINGSTAR INC COM 28 $245,756,000 1,699,085 1.10 1.14 -192,148 -10.16
THERMO FISHER SCIENTIFIC INC COM 29 $243,161,000 827,980 1.09 1.06 15,849 1.95
UMPQUA HLDGS CORP COM 30 $239,623,000 14,443,808 1.08 0.98 2,004,171 16.11
FRONTDOOR INC COM 31 $239,080,000 5,489,776 1.07 0.91 -49,325 -0.89
BIO RAD LABS INC CL A 32 $236,204,000 755,635 1.06 1.10 5,522 0.74
COPART INC COM 33 $228,713,000 3,060,120 1.03 1.28 -1,359,207 -30.76
DANAHER CORPORATION COM 34 $228,458,000 1,598,505 1.03 0.99 25,353 1.61
SENSIENT TECHNOLOGIES CORP COM 35 $227,066,000 3,090,179 1.02 1.01 -14,654 -0.47
FLIR SYS INC COM 36 $223,854,000 4,137,780 1.00 0.93 45,743 1.12
NORDSON CORP COM 37 $223,428,000 1,581,120 1.00 1.00 7,343 0.47
BROADRIDGE FINL SOLUTIONS IN COM 38 $223,252,000 1,748,524 1.00 1.02 -303,823 -14.80
PROSPERITY BANCSHARES INC COM 39 $216,739,000 3,281,431 0.97 1.09 -7,956 -0.24
ACUITY BRANDS INC COM 40 $211,158,000 1,531,132 0.95 0.87 16,976 1.12
RPM INTL INC COM 41 $200,890,000 3,287,345 0.90 0.91 29,559 0.91
JONES LANG LASALLE INC COM 42 $199,104,000 1,415,199 0.89 1.03 16,627 1.19
MASTERCARD INC CL A 43 $190,587,000 720,474 0.86 0.80 8,799 1.24
HENRY JACK & ASSOC INC COM 44 $185,045,000 1,381,760 0.83 0.90 20,132 1.48
FACTSET RESH SYS INC COM 45 $183,064,000 638,832 0.82 0.89 -109,878 -14.68
MICROSOFT CORP COM 46 $180,163,000 1,344,905 0.81 0.78 -28,268 -2.06
ALPHABET INC CAP STK CL C 47 $176,847,000 163,609 0.79 0.77 26,988 19.75
AMERICAN TOWER CORP NEW COM 48 $172,440,000 843,435 0.77 0.78 16,704 2.02
SALLY BEAUTY HLDGS INC COM 49 $170,229,000 12,760,831 0.76 1.12 25,705 0.20
GRACO INC COM 50 $169,318,000 3,374,213 0.76 0.80 12,776 0.38
SERVICE CORP INTL COM 51 $167,503,000 3,580,662 0.75 0.45 1,227,900 52.19
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