13F Filings for EULAV Asset Management (CIK: 1540826)

View the most recent portfolio holdings disclosed by EULAV Asset Management in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
HEI - HEICO CORP NEW(Class: COM)461.69K $151.44M 3.56%Unchanged
TYL - TYLER TECHNOLOGIES INC(Class: COM)249.08K $147.67M 3.47%Decreased 1 (0.0%, $2.85M)
MSCI - MSCI INC(Class: COM)203.97K $117.64M 2.76%Increased 13 (0.0%, $2.30M)
WCN - WASTE CONNECTIONS INC(Class: COM)620.71K $115.90M 2.72%Decreased 29 (0.0%, $5.26M)
CTAS - CINTAS CORP(Class: COM)501.63K $111.80M 2.62%Decreased 49.10K (8.0%, $1.39M)
LII - LENNOX INTL INC(Class: COM)187.40K $107.43M 2.52%Increased 692 (0.0%, $2.71M)
FICO - FAIR ISAAC CORP(Class: COM)56.90K $104.01M 2.44%Unchanged
WRB - BERKLEY W R CORP(Class: COM)1.30M $95.18M 2.23%Decreased 125K (8.0%, $5.90M)
CDNS - CADENCE DESIGN SYSTEM INC(Class: COM)289.30K $89.15M 2.09%Unchanged
CASY - CASEYS GEN STORES INC(Class: COM)174.20K $88.89M 2.09%Increased 3.60K (2.0%, $14.84M)
IT - GARTNER INC(Class: COM)217.20K $87.80M 2.06%Unchanged
MPWR - MONOLITHIC PWR SYS INC(Class: COM)116.28K $85.04M 2.00%Unchanged
CACI - CACI INTL INC(Class: CL A)176.20K $84M 1.97%Unchanged
RSG - REPUBLIC SVCS INC(Class: COM)323.62K $79.81M 1.87%Decreased 10.02K (3.0%, $986.50K)
MSI - MOTOROLA SOLUTIONS INC(Class: COM NEW)176.10K $74.04M 1.74%Unchanged
FIX - COMFORT SYS USA INC(Class: COM)132.61K $71.11M 1.67%Increased 2 (0.0%, $28.36M)
ROP - ROPER TECHNOLOGIES INC(Class: COM)124.37K $70.50M 1.66%Increased 33.20K (36.0%, $16.75M)
IDXX - IDEXX LABS INC(Class: COM)126.22K $67.70M 1.59%Increased 2 (0.0%, $14.69M)
NOW - SERVICENOW INC(Class: COM)64.36K $66.17M 1.55%Decreased 1.80K (2.0%, $13.50M)
TDG - TRANSDIGM GROUP INC(Class: COM)42.66K $64.87M 1.52%Decreased 45.60K (51.0%, $57.22M)
AFG - AMERICAN FINL GROUP INC OHIO(Class: COM)498.72K $62.94M 1.48%Unchanged
CDW - CDW CORP(Class: COM)343.72K $61.39M 1.44%Increased 12 (0.0%, $6.30M)
NVDA - NVIDIA CORPORATION(Class: COM)381.13K $60.22M 1.41%Decreased 19.01K (4.0%, $16.85M)
CHE - CHEMED CORP NEW(Class: COM)123.52K $60.14M 1.41%Increased 19 (0.0%, $15.85M)
META - META PLATFORMS INC(Class: CL A)75.42K $55.66M 1.31%Decreased 3.60K (4.0%, $10.12M)