Universe · entity

ArrowMark Colorado Holdings LLC

Institutional manager (13F) · CIK 1483859
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.2B
#IssuerValueShares
1SPDR SERIES TRUST$116M1,270,023
2FEDERAL SIGNAL CORP$67M623,748
3TRIMBLE INC$67M1,021,075
4RB GLOBAL INC$65M678,367
5TURNING PT BRANDS INC$65M745,423
6CHURCHILL DOWNS INC$64M715,841
7AXOGEN INC$63M1,915,439
8KIRBY CORP$63M470,548
9HINGE HEALTH INC$61M1,575,283
10CURTISS WRIGHT CORP$60M87,542
11TANDEM DIABETES CARE INC$59M3,103,609
12VIPER ENERGY INC$58M1,229,432
13WAYSTAR HLDG CORP$53M2,198,468
14CIMPRESS PLC$49M672,595
15COOPER COS INC$47M662,361
16VISTRA CORP$47M313,815
17VERACYTE INC$44M1,374,103
18CARGURUS INC$44M1,297,916
19SPX TECHNOLOGIES INC$43M217,418
20STANDARDAERO INC$43M1,657,434
21GLOBUS MED INC$42M487,426
22SENSATA TECHNOLOGIES HLDG PL$40M1,149,307
23APPLIED INDL TECHNOLOGIES IN$39M147,906
24PRAXIS PRECISION MEDICINES I$38M117,851
25ON SEMICONDUCTOR CORP$37M603,194
26GLOBALFOUNDRIES INC$37M832,775
27HALOZYME THERAPEUTICS INC$37M569,789
28CHENIERE ENERGY INC$36M128,458
29STERIS PLC$36M164,192
30DYNATRACE INC$36M980,952
31GENERAC HLDGS INC$35M180,961
32STERLING INFRASTRUCTURE INC$35M86,028
33ALKAMI TECHNOLOGY INC$35M2,232,676
34DRAFTKINGS INC NEW$35M1,604,630
35JBT MAREL CORPORATION$34M262,142
36MADRIGAL PHARMACEUTICALS INC$33M62,441
37LATTICE SEMICONDUCTOR CORP$32M347,982
38EURONET WORLDWIDE INC$32M482,461
39MGM RESORTS INTERNATIONAL$32M851,801
40DEFINIUM THERAPEUTICS INC$30M1,594,717
41WISDOMTREE INC$30M2,043,930
42KLAVIYO INC$29M1,488,481
43CERTARA INC$26M4,592,707
44UNITED STS LIME & MINERALS I$26M199,855
45LEGENCE CORP$26M461,480
46FIRST AMERN FINL CORP$25M413,586
47SOMNIGROUP INTERNATIONAL INC$25M337,284
48ENTEGRIS INC$25M209,125
49MERIT MED SYS INC$24M348,637
50TRINET GROUP INC$24M649,180
All filings on EDGAR ↗

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