SEC 13F Intelligence

Managers / Q1 2019 · view latest →

FRIESS ASSOCIATES LLC

CIK 0000820289 · 3711 KENNETT PIKE, SUITE 205, GREENVILLE, DE, 19807-2155 · 302-656-3017

Reported Value
$1.4B
Q1 2019
Positions
117
Filings on Record
14
2019–present window
Filed
May 15, 2019
original filing

Summary

Friess Associates LLC reported $1.4B in U.S.-listed holdings across 117 positions for Q1 2019.

Its largest position, MSFT, represents 3.6% of the portfolio.

Portfolio Metrics

Top-10 Concentration
+22.4%
share of reported value
Largest Position
+3.6%
Microsoft

Methodology: turnover is min(value bought, value sold) ÷ average reported value across the two quarters — value-based, so market moves inflate it slightly versus a share-based measure. Concentration and largest position are shares of the filing’s total reported value, options excluded, with multiple share classes and repeated sub-manager rows for the same issuer combined into one position — the same rule the holdings table uses by default. New/exited counts compare against the prior filed quarter. All figures derive solely from the fund’s 13F filings.

Reported Value by Quarter

13F Reported Value
Q1 ’19: $1.4BQ1 ’19Q2 ’19: $1.4BQ3 ’19: $1.3BQ3 ’19Q4 ’19: $1.4BQ1 ’20: $1.0BQ1 ’20Q2 ’20: $1.1BQ3 ’20: $1.2BQ3 ’20Q4 ’20: $1.4BQ1 ’21: $257MQ1 ’21Q2 ’21: $265MQ3 ’21: $238MQ3 ’21Q4 ’21: $256MQ1 ’22: $187MQ1 ’22Q2 ’22: $60Mfilingsflow.com

Portfolio Composition

By security type
Common Stock: 94.9%Other: 3.9%ADR: 1.2%
  • Common Stock · 94.9% · $1.3B
  • Other · 3.9% · $54M
  • ADR · 1.2% · $16M

Quarter-over-Quarter Changes full breakdown →

IssuerMoveShare ΔShares nowValue ΔValue now
MSFTMicrosoft Corp.NEW+413.8K413.8K+$49M$49M
AMZNAmazon.com Inc.NEW+23.8K23.8K+$42M$42M
TNDMTandem Diabetes Care Inc.NEW+476.9K476.9K+$30M$30M
CRMSalesforce.com Inc.NEW+188.3K188.3K+$30M$30M
GPNGlobal Payments Inc.NEW+207.0K207.0K+$28M$28M
GOOGLAlphabet Inc.NEW+22.9K22.9K+$27M$27M
MAMastercard Inc.NEW+109.7K109.7K+$26M$26M
BAHBooz Allen Hamilton Holding CoNEW+429.7K429.7K+$25M$25M

Value changes conflate price moves with buying and selling — share changes are the real signal. Share counts are not split-adjusted.

Holdings — Q1 2019

117 positions
#IssuerClass% PortfolioValueShares
1MSFTMicrosoft Corp.history →COM3.58%$49M413.8K
2AMZNAmazon.com Inc.history →COM3.11%$42M23.8K
3TNDMTandem Diabetes Care Inc.history →COM2.22%$30M476.9K
4CRMSalesforce.com Inc.history →COM2.19%$30M188.3K
5GPNGlobal Payments Inc.history →COM2.07%$28M207.0K
6GOOGLAlphabet Inc.history →COM1.97%$27M22.9K
7MAMastercard Inc.history →COM1.89%$26M109.7K
8BAHBooz Allen Hamilton Holding Cohistory →COM1.83%$25M429.7K
9DECKDeckers Outdoor Corp.history →COM1.80%$25M167.3K
10PANWPalo Alto Networks Inc.history →COM1.78%$24M99.9K
11VVisa Inc.history →COM1.77%$24M155.0K
12TMOThermo Fisher Scientific Inc.history →COM1.70%$23M84.8K
13DLTRDollar Tree Inc.history →COM1.68%$23M217.7K
14ABTAbbott Laboratorieshistory →COM1.58%$21M268.8K
15NOWServiceNow Inc.history →COM1.57%$21M87.1K
16ELThe Estee Lauder Cos. Inc.history →COM1.57%$21M129.4K
17PPure Storage Inc.history →COM1.56%$21M974.9K
18CHDChurch & Dwight Co. Inc.history →COM1.55%$21M296.8K
19LITELumentum Holdings Inc.history →COM1.55%$21M373.7K
20NFLXNetflix Inc.history →COM1.52%$21M58.0K
21RNGRingCentral Inc.history →COM1.51%$21M191.3K
22ORLYO'Reilly Automotive Inc.history →COM1.48%$20M52.0K
23AEOAmerican Eagle Outfitters Inc.history →COM1.47%$20M902.2K
24CIENCiena Corp.history →COM1.43%$19M520.8K
25Charles River Laboratories IntCOM1.42%$19M132.9K
26KEYSKeysight Technologies Inc.history →COM1.41%$19M220.9K
27ELANElanco Animal Health Inc.history →COM1.40%$19M593.5K
28VFCVF Corp.history →COM1.39%$19M217.8K
29TJXThe TJX Cos. Inc.history →COM1.39%$19M355.7K
30DALDelta Air Lines Inc.history →COM1.37%$19M361.8K
31NKENIKE Inc. CL Bhistory →COM1.36%$19M220.3K
32World Wrestling EntertainmentCOM1.34%$18M210.5K
33PYPLPayPal Holdings Inc.history →COM1.32%$18M173.3K
34TTDThe Trade Desk Inc.history →COM1.32%$18M90.9K
35COSTCostco Wholesale Corp.history →COM1.32%$18M74.2K
36RCLRoyal Caribbean Cruises Ltd.history →COM1.32%$18M156.5K
37EHTHeHealth Inc.history →COM1.30%$18M285.3K
38COTYCoty Inc.history →COM1.30%$18M1.54M
39Black Knight Inc.COM1.22%$17M305.7K
40VMCVulcan Materials Co.history →COM1.22%$17M140.0K
41UNHUnitedHealth Group Inc.history →COM1.21%$17M66.8K
42AZNNAstraZeneca PLC Spons ADRhistory →COM1.19%$16M403.0K
43CSCOCisco Systems Inc.history →COM1.18%$16M299.3K
44ADBEAdobe Inc.history →COM1.16%$16M59.4K
45MCHPMicrochip Technology Inc.history →COM1.16%$16M190.6K
46MSGSThe Madison Square Garden Co.history →COM1.15%$16M53.5K
47DISThe Walt Disney Co.history →COM1.15%$16M140.7K
48CMCSAComcast Corp.history →COM1.13%$15M384.7K
49WOOFoot Locker Inc.history →COM1.13%$15M253.2K
50CMECME Group Inc.history →COM1.03%$14M85.1K
51II-VI Inc.COM1.01%$14M369.6K
52Horizon Pharma PLCCOM0.96%$13M497.1K
53EBSEmergent BioSolutions Inc.history →COM0.95%$13M255.4K
54TDOCTeladoc Health Inc.history →COM0.91%$12M223.9K
55Mobile Mini Inc.COM0.85%$12M340.5K
56NVRIHarsco Corp.history →COM0.79%$11M532.7K
57Cubic Corp.COM0.72%$10M173.9K
58DAYCeridian HCM Holding Inc.COM0.67%$9M177.5K
59PRAHPRA Health Sciences Inc.COM0.65%$9M79.9K
60AXGNAxoGen Inc.COM0.63%$9M410.3K
61EXKExact Sciences Corp.COM0.62%$8M98.1K
62LEVILevi Strauss & Co.COM0.57%$8M331.0K
63FIXComfort Systems USA Inc.COM0.55%$7M142.8K
64Wright Medical Group N.V.COM0.54%$7M234.4K
65Smartsheet Inc.COM0.51%$7M170.6K
66GLUUGlu Mobile Inc.COM0.51%$7M634.4K
67CRMTAmerica's Car-Mart Inc.COM0.50%$7M74.7K
68ENPHEnphase Energy Inc.COM0.49%$7M728.7K
69Upland Software Inc.COM0.47%$6M151.7K
70CDNACareDx Inc.COM0.47%$6M202.7K
71CROXCrocs Inc.COM0.45%$6M239.0K
72CARGCarGurus Inc.COM0.43%$6M146.2K
73Kornit Digital Ltd.COM0.42%$6M243.4K
74HZOMarineMax Inc.COM0.42%$6M296.8K
75Northern Oil and Gas Inc.COM0.40%$5M1.99M
76ADUSAddus HomeCare Corp.COM0.35%$5M76.0K
77Vapotherm Inc.COM0.33%$5M231.6K
78QNSTQuinStreet Inc.COM0.32%$4M329.1K
79SHOEShoe Carnival Inc.COM0.32%$4M128.4K
80LYFTLyft Inc.COM0.32%$4M55.0K
81MCDIFMcDermott International Inc.COM0.31%$4M572.7K
82ESTAEstablishment Labs Holdings InCOM0.31%$4M177.2K
83DINDine Brands Global Inc.COM0.30%$4M45.4K
84FNFabrinetCOM0.29%$4M75.7K
85VCYTVeracyte Inc.COM0.29%$4M156.4K
86CALXCalix Inc.COM0.28%$4M491.5K
87Pluralsight Inc.COM0.28%$4M119.0K
88HURNHuron Consulting Group Inc.COM0.27%$4M78.2K
89UPWKUpwork Inc.COM0.27%$4M190.9K
90SPX Corp.COM0.27%$4M104.0K
91Plantronics Inc.COM0.25%$3M72.5K
92HUBGHub Group Inc.COM0.20%$3M65.5K
93Tabula Rasa HealthCare Inc.COM0.15%$2M37.2K
94CLARClarus Corp.COM0.15%$2M155.3K
95LLYEli Lilly & Co.COM0.14%$2M14.5K
96LOVEThe Lovesac Co.COM0.13%$2M63.4K
97Heritage Crysal Clean Inc.COM0.12%$2M60.0K
98EVEREverQuote Inc.COM0.12%$2M215.6K
99Aerohive NetworksCOM0.12%$2M350.0K
100MVISMicroVision Inc.COM0.11%$2M1.58M

Filing History

QuarterReported ValuePositionsFiledTypeLinks
Q2 2022$60M32Aug 15, 202213F-HRchanges · EDGAR ↗
Q1 2022$187M89May 12, 202213F-HRchanges · EDGAR ↗
Q4 2021$256M90Feb 11, 202213F-HRchanges · EDGAR ↗
Q3 2021$238M85Nov 12, 202113F-HRchanges · EDGAR ↗
Q2 2021$265M87Aug 11, 202113F-HRchanges · EDGAR ↗
Q1 2021$257M92May 14, 202113F-HRchanges · EDGAR ↗
Q4 2020$1.4B96Feb 12, 202113F-HRchanges · EDGAR ↗
Q3 2020$1.2B106Nov 13, 202013F-HRchanges · EDGAR ↗
Q2 2020$1.1B102Aug 14, 202013F-HRchanges · EDGAR ↗
Q1 2020$1.0B103May 15, 202013F-HRchanges · EDGAR ↗
Q4 2019$1.4B107Feb 14, 202013F-HRchanges · EDGAR ↗
Q3 2019$1.3B108Nov 14, 201913F-HRchanges · EDGAR ↗
Q2 2019$1.4B116Aug 14, 201913F-HRchanges · EDGAR ↗
Q1 2019$1.4B117May 15, 201913F-HRchanges · EDGAR ↗

Other Included Managers

This filing reports holdings on behalf of 1 additional manager.

  • AMG Funds LLC028-11395

13F filings are due up to 45 days after quarter end, so holdings shown here lag the fund’s current book. Source: original SEC filing on EDGAR ↗.