Universe · entity

JAG CAPITAL MANAGEMENT, LLC

Institutional manager (13F) · CIK 1080374
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $838M
#IssuerValueShares
1Apple Inc$71M281,717
2NVIDIA Corporation$70M400,950
3Microsoft Corporation$57M154,376
4Alphabet Inc Class A$51M175,691
5Amazon.com Inc$44M211,610
6Meta Platforms Inc Class A$36M62,273
7Tesla Motors Inc$35M93,565
8Broadcom Inc$34M108,786
9Cisco Systems Inc$26M336,363
10ASML Holding NV$25M19,161
11Costco Wholesale Corporation$24M24,330
12Applied Materials Inc$24M69,261
13Mastercard Inc Class A$22M43,859
14Eli Lilly & Company$20M22,257
15Vertiv Holdings Company Class$20M80,881
16Goldman Sachs Group Inc$20M23,572
17Rockwell Automation Inc$20M54,596
18Taiwan Semiconductor Manufactu$18M54,369
19Natera Inc$17M85,091
20Gilead Sciences Inc$17M121,427
21Intuitive Surgical Inc$16M34,869
22TKO Group Holdings Inc A$15M75,551
23XPO Inc$13M65,301
24Intel Corporation$11M258,474
25Micron Technology Inc$10M29,324
26Synopsys Inc.$10M24,215
27Caterpillar Inc$9M12,491
28Motorola Solutions Inc$8M19,543
29Thermo Fisher Scientific Inc$8M16,569
30Advanced Micro Devices Inc$8M39,341
31Cintas Corp$8M44,391
32Alphabet Inc Class C$7M25,288
33American Express Company$7M22,313
34United Rentals Inc$7M9,150
35Visa Inc Class A$4M13,636
36Synchrony Finl Corp$4M58,591
37Deere & Company$4M6,541
38Lowe's Companies Inc$3M14,719
39Fedex Corporation$3M9,531
40Disney Walt Company$3M34,993
41Berkshire Hathaway Inc Class$3M7,011
42Labcorp Holdings Inc$3M12,467
43Procter & Gamble Company$3M22,063
44Union Pacific Corporation$3M12,075
45PepsiCo Inc$3M18,491
46Coca-Cola Company$3M36,361
47Colgate-Palmolive Company$3M30,747
48Simmons First Natl Corp Cl A$2M126,962
49Alaska Air Group$2M66,295
50ServiceNow Inc$2M23,244
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.