MITCHELL CAPITAL MANAGEMENT CO - Q3 2023 holdings

$421 Million is the total value of MITCHELL CAPITAL MANAGEMENT CO's 111 reported holdings in Q3 2023. The portfolio turnover from Q2 2023 to Q3 2023 was 8.7% .

 Value Shares↓ Weighting
GOOG BuyAlphabet Inc CL C$19,487,826
+9.6%
147,803
+0.5%
4.63%
+13.8%
UNH BuyUnited Health$8,400,573
+5.2%
16,662
+0.3%
2.00%
+9.3%
OXY BuyOccidental Petro$7,998,861
+120.9%
123,287
+100.2%
1.90%
+129.5%
JPM BuyJP Morgan Chase$7,985,526
+1.1%
55,065
+1.3%
1.90%
+4.9%
BRKB BuyBerkshire Hathaway$7,174,494
+7.0%
20,481
+4.2%
1.70%
+11.2%
CNK BuyCinemark Holdings Inc$7,115,836
+11.6%
387,784
+0.4%
1.69%
+16.0%
AVGO BuyBroadcom LTD$6,959,961
-3.5%
8,380
+0.7%
1.65%
+0.2%
V BuyVisa Inc$6,958,190
-2.8%
30,252
+0.3%
1.65%
+0.9%
COST BuyCostco Wholesale$6,932,764
+5.2%
12,271
+0.2%
1.65%
+9.2%
CPRT BuyCopart Inc.$5,999,162
-5.5%
139,224
+100.0%
1.42%
-1.9%
EME BuyEmcor Group Inc$5,759,005
+14.6%
27,373
+0.7%
1.37%
+19.1%
ON BuyON Semiconductor Corporation$5,682,312
+124.8%
61,133
+128.8%
1.35%
+133.4%
ULTA BuyUlta Beauty Inc$5,116,555
-15.1%
12,809
+0.1%
1.22%
-11.8%
ANET BuyArista Networks Inc.$4,997,930
+13.7%
27,173
+0.2%
1.19%
+18.1%
FB NewMeta Platforms Inc.$4,694,08415,636
+100.0%
1.12%
TSLA BuyTesla Inc$4,654,843
-1.6%
18,603
+2.9%
1.10%
+2.1%
MYRG BuyMYR Group$4,531,575
-2.0%
33,627
+0.6%
1.08%
+1.8%
SPGI BuyS & P Global Inc.$4,308,653
-8.7%
11,791
+0.2%
1.02%
-5.2%
FANG BuyDiamondback Energy Inc$4,217,444
+19.3%
27,230
+1.2%
1.00%
+24.0%
CMG BuyChipotle Mexican Grill Inc$4,200,386
-13.7%
2,293
+0.8%
1.00%
-10.4%
MA BuyMastercard Inc-Cl A$4,163,785
+1.4%
10,517
+0.8%
0.99%
+5.3%
TREX BuyTrex Company Inc.$3,968,109
-5.7%
64,386
+0.4%
0.94%
-2.1%
ROST BuyRoss Stores Inc$3,941,503
+0.9%
34,896
+0.2%
0.94%
+4.8%
ORLY BuyO'Reilly Automotive$3,858,111
-4.5%
4,245
+0.4%
0.92%
-0.8%
TGT BuyTarget Corp$3,832,135
+23.2%
34,658
+47.0%
0.91%
+28.0%
WMT BuyWal-Mart Stores$3,827,925
+2.7%
23,935
+0.9%
0.91%
+6.6%
IVV BuyiShares Core S&P 500 Index ETF$3,820,639
-3.0%
8,897
+0.6%
0.91%
+0.7%
APH BuyAmphenol Corp CL A$3,715,214
-0.2%
44,234
+0.9%
0.88%
+3.6%
DHR BuyDanaher Corp$3,695,201
+4.6%
14,894
+1.1%
0.88%
+8.7%
SSNC BuySS&C Technologies Holdings$3,456,659
-12.8%
65,791
+0.5%
0.82%
-9.5%
WM BuyWaste Management$3,336,759
-11.7%
21,889
+0.4%
0.79%
-8.3%
ANTM BuyElevance Health Inc$3,141,120
-1.6%
7,214
+0.4%
0.75%
+2.2%
PNFP NewPinnacle Financial Partners$3,002,99044,794
+100.0%
0.71%
ADBE BuyAdobe Inc$2,785,584
+5.3%
5,463
+0.9%
0.66%
+9.4%
IDXX BuyIdexx Laboratories$2,786,284
-11.8%
6,372
+1.3%
0.66%
-8.4%
HD BuyHome Depot$2,785,242
-2.6%
9,218
+0.1%
0.66%
+1.1%
ACWX BuyiShares MSCI ACWI ex US ETF$2,597,114
-3.6%
55,246
+0.9%
0.62%
+0.2%
QLYS NewQualys Inc.$2,411,05315,805
+100.0%
0.57%
MLM BuyMartin Marietta$2,365,596
-10.6%
5,763
+0.5%
0.56%
-7.1%
AON BuyAon PLC$2,283,157
-6.0%
7,042
+0.1%
0.54%
-2.3%
NVO BuyNovo-Nordisk Spons$1,997,224
+11.9%
21,962
+99.1%
0.47%
+16.2%
MU NewMicron Technology Inc$1,762,92925,914
+100.0%
0.42%
MELI BuyMercadolibre$1,601,332
+89.9%
1,263
+77.4%
0.38%
+96.9%
WOPEY BuyWoodside Energy Group F Sponso$1,222,935
+0.5%
52,509
+0.0%
0.29%
+4.3%
BuyCanadian Pacific Kansas City$1,064,212
-7.5%
14,302
+0.4%
0.25%
-3.8%
ASML BuyASML Holding ADR$1,004,254
-18.7%
1,706
+0.1%
0.24%
-15.6%
CAT BuyCaterpillar Inc$898,443
+12.1%
3,291
+1.0%
0.21%
+16.4%
IXUS BuyiShares Core Intl Stock ETF$537,150
-3.3%
8,954
+0.9%
0.13%
+0.8%
IJH BuyiShares Core S&P Mid Cap ETF$512,913
-3.7%
2,057
+1.0%
0.12%0.0%
IJR BuyiShares Core S&P SmallCap ETF$426,089
-3.7%
4,517
+1.7%
0.10%0.0%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2023-11-03
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Apple Inc42Q3 20238.2%
Honeywell Int'l Inc42Q3 20235.0%
Mettler-Toledo Int'l42Q3 20233.9%
Cerner Corp36Q1 20224.6%
Alphabet Inc CL C Non-Voting32Q3 20235.8%
Canadian National Railway Co32Q3 20234.1%
Visa Inc - Class A Shares31Q3 20234.1%
Skyworks Solutions, Inc.30Q4 20216.8%
Novo-Nordisk Spons ADR30Q3 20233.8%
Thermo Fisher Scientific Inc29Q3 20233.6%

View MITCHELL CAPITAL MANAGEMENT CO's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-13
13F-HR2023-11-03
13F-HR2023-08-08
13F-HR2023-05-08
13F-HR2023-02-13
13F-HR2022-10-28
13F-HR2022-07-29
13F-HR2022-04-29
13F-HR2022-01-28
13F-HR2021-11-02

View MITCHELL CAPITAL MANAGEMENT CO's complete filings history.

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