Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
CONTRAVISORY INVESTMENT MANAGEMENT INC 07-09-2019 06-30-2019 272 258,536,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
CINTAS CORP COM 1 $9,686,000 40,818 3.75 3.38 -2,267 -5.26
SYNOPSYS INC COM 2 $7,717,000 59,969 2.98 2.83 -3,468 -5.47
ROPER TECHNOLOGIES INC COM 3 $7,574,000 20,680 2.93 2.92 -1,348 -6.12
PROGRESSIVE CORP OHIO COM 4 $7,424,000 92,879 2.87 2.77 -6,104 -6.17
ACCENTURE PLC IRELAND SHS CLASS A 5 $6,917,000 37,434 2.68 2.70 -2,067 -5.23
ZEBRA TECHNOLOGIES CORP CL A 6 $6,323,000 30,182 2.45 2.60 -1,848 -5.77
REPUBLIC SVCS INC COM 7 $6,242,000 72,047 2.41 0.15 67,238 1398.17
GARMIN LTD SHS 8 $6,151,000 77,082 2.38 2.71 -3,882 -4.79
MICROSOFT CORP COM 9 $6,104,000 45,565 2.36 0.03 44,982 7715.61
AON PLC SHS CL A 10 $6,076,000 31,486 2.35 2.18 -1,455 -4.42
CHENIERE ENERGY INC COM NEW 11 $5,984,000 87,425 2.31 2.44 -4,622 -5.02
KIMBERLY CLARK CORP COM 12 $5,805,000 43,555 2.25 0.00 43,543 362858.33
ABBOTT LABS COM 13 $5,504,000 65,442 2.13 2.13 -3,411 -4.95
HONEYWELL INTL INC COM 14 $5,312,000 30,427 2.05 1.96 -1,315 -4.14
MID AMER APT CMNTYS INC COM 15 $5,223,000 44,356 2.02 1.95 -1,673 -3.63
PTC INC COM 16 $5,166,000 57,552 2.00 2.17 -3,096 -5.10
THERMO FISHER SCIENTIFIC INC COM 17 $5,121,000 17,439 1.98 1.94 -825 -4.52
PAYPAL HLDGS INC COM 18 $5,073,000 44,324 1.96 1.88 -2,440 -5.22
FLEETCOR TECHNOLOGIES INC COM 19 $4,953,000 17,635 1.92 1.78 -998 -5.36
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DISNEY WALT CO COM DISNEY 22 $4,683,000 33,536 1.81 1.51 -1,640 -4.66
SALESFORCE COM INC COM 23 $4,638,000 30,570 1.79 1.97 -1,587 -4.94
ROSS STORES INC COM 24 $4,542,000 45,821 1.76 1.73 -2,223 -4.63
VMWARE INC CL A COM 25 $4,510,000 26,973 1.74 2.00 -1,581 -5.54
EQUITY RESIDENTIAL SH BEN INT 26 $4,475,000 58,944 1.73 1.81 -2,893 -4.68
NEXTERA ENERGY INC COM 27 $4,448,000 21,713 1.72 1.70 -965 -4.26
28
DARDEN RESTAURANTS INC COM 29 $4,385,000 36,026 1.70 0.13 33,162 1157.89
COMCAST CORP NEW CL A 30 $4,344,000 102,746 1.68 1.67 -5,045 -4.68
PROCTER AND GAMBLE CO COM 31 $4,336,000 39,547 1.68 0.06 38,095 2623.62
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33
HORMEL FOODS CORP COM 34 $4,256,000 104,983 1.65 1.92 -5,833 -5.26
ZOETIS INC CL A 35 $4,219,000 37,179 1.63 1.52 -1,813 -4.65
36
COSTCO WHSL CORP NEW COM 37 $4,100,000 15,514 1.59 1.52 -667 -4.12
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39
T MOBILE US INC COM 40 $3,992,000 53,842 1.54 1.52 -2,755 -4.87
ADOBE INC COM 41 $3,944,000 13,384 1.53 0.02 13,199 7134.59
COCA COLA CO COM 42 $3,933,000 77,247 1.52 1.47 -3,871 -4.77
AVALONBAY CMNTYS INC COM 43 $3,905,000 19,217 1.51 19,217 +Inf
SERVICE CORP INTL COM 44 $3,891,000 83,171 1.51 1.37 -4,585 -5.22
UNIVERSAL HLTH SVCS INC CL B 45 $3,890,000 29,830 1.50 1.79 -4,673 -13.54
ALPHABET INC CAP STK CL C 46 $3,856,000 3,567 1.49 1.71 -183 -4.88
LIFE STORAGE INC COM 47 $3,824,000 40,222 1.48 1.60 -2,109 -4.98
SYSCO CORP COM 48 $3,789,000 53,573 1.47 1.46 -2,864 -5.07
NIKE INC CL B 49 $3,644,000 43,410 1.41 1.47 -1,532 -3.41
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