AMI ASSET MANAGEMENT CORP

Holdings as of 2026-06-30, filed 2026-07-21

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 21 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
99
Value reported by manager
$1.7B
Sum of our stored positions
$1.7B
should match the line above
Disclosure lag
21 d
quarter end to filing
Top 5 concentration
28.9%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

99 largest shown
IssuerClassValueSharesTypeCUSIP
APPLE INCCOM$126.7M437,971037833100
ALPHABET INC CLASS ACOM$110.3M308,69602079K305
TAIWAN SEMICONDUCTOR M F SPONSCOM$93.3M195,360874039100
BROADCOM INCCOM$92M243,56611135F101
AMAZON.COM INCCOM$78.9M331,221023135106
QUANTA SVCS INCCOM$73M101,32674762E102
ELI LILLY & COCOM$70.4M58,726532457108
PALO ALTO NETWORKS INCCOM$67.7M198,453697435105
MICROSOFT CORPCOM$61.9M165,895594918104
CORNING INCCOM$60.8M238,017219350105
AXON ENTERPRISE INCCOM$58.3M104,06705464C101
WEST PHARMACEUTICAL SVCSCOM$52.7M146,764955306105
CHURCH & DWIGHT INCCOM$51.6M532,861171340102
NETFLIX INCCOM$49.4M691,99164110L106
LABCORP HLDGS INCCOM$47.8M170,555504922105
ULTA BEAUTY INCCOM$44.8M99,34990384S303
CROWDSTRIKE HLDGS INC CLASS CLCOM$44M57,60222788C105
COLGATE PALMOLIVE COCOM$43.9M479,125194162103
CHARLES SCHWAB CORP NEWCOM$39.9M432,674808513105
BECTON DICKINSON & COCOM$38.9M257,257075887109
WASTE MGMT INC DELCOM$38.3M171,83994106L109
MASTERCARD INC CLASS CLASS ACOM$35.1M68,43157636Q104
MAPLEBEAR INCCOM$35.1M741,861565394103
SPOTIFY TECHNOLOGY S A FCOM$34.7M75,584L8681T102
SERVICENOW INCCOM$34.2M344,34381762P102
ECOLAB INCCOM$26.9M96,610278865100
SYNOPSYS INCCOM$23.1M51,819871607107
ARM HLDGS PLC EQUITY A F UNSPOCOM$22.3M62,867042068205
COSTCO WHSL CORP NEWCOM$20.4M21,76122160K105
INSULET CORPCOM$19.8M129,81545784P101
ZOETIS INC CLASS ACOM$18.9M262,50998978V103
SPACE EX TECH SPACEX CLASS ACOM$16M93,43584615Q103
TJX COS INC NEWCOM$15.4M101,402872540109
MCCORMICK & CO INC CLASS NCOM$14.5M287,394579780206
CINTAS CORPCOM$12M70,848172908105
ISHARES RUSSELL 1000 GROWTH ETETF$9.4M75,839464287614
STATE STREET SPDR S&P 500 ETFETF$2.3M3,08578462F103
JOHNSON & JOHNSONCOM$1.6M6,149478160104
QUALCOMM INCCOM$1.5M7,987747525103
CG ONCOLOGY INCCOM$1.4M19,398156944100
MERCK & CO. INC.COM$1.4M10,71858933Y105
JPMORGAN CHASE & COCOM$1.4M4,19946625H100
VERA THERAPEUTICS INC CLASS ACOM$1.3M30,58292337R101
ONTO INNOVATION INCCOM$1.2M3,227683344105
CYTOKINETICS INCCOM$1.2M14,26123282W605
SCHOLAR ROCK HLDG CORPCOM$1.2M21,70580706P103
PACKAGING CORP OF AMERCOM$1.2M4,939695156109
MADRIGAL PHARMACEUTICALSCOM$1.1M2,135558868105
DYCOM INDS INCCOM$1.1M2,220267475101
VERACYTE INCCOM$1.1M18,90592337F107
CISCO SYS INCCOM$1.1M9,41417275R102
GXO LOGISTICS INCCOM$1.1M21,62236262G101
NUVATION BIO INC A CLASS ACOM$1M183,25167080N101
PEPSICO INCCOM$1M7,665713448108
SOUTHERN COCOM$1M10,769842587107
KINIKSA PHARMACEUTICAL F CLASSCOM$1M15,858G52694109
FREEPORT-MCMORAN INCCOM$1M15,95335671D857
MIRUM PHARMACEUTICALS INCOM$998.8K8,532604749101
VITA COCO CO INCCOM$996.1K15,06092846Q107
GENIUS SPORTS LTD FCOM$977.6K161,318G3934V109
ARCUTIS BIOTHERAPEUTICSCOM$973.3K37,12103969K108
EXPAND ENERGY CORPCOM$969.6K10,633165167735
LEVI STRAUSS & CO NEW CLASS ACOM$960.4K38,67852736R102
HALOZYME THERAPEUTICS INCOM$950.9K12,14940637H109
NEXTERA ENERGY INCCOM$948.4K10,80565339F101
SEMPRACOM$945.6K10,200816851109
SENSIENT TECHNOLOGIES COCOM$934K7,57681725T100
SERVICETITAN INC CLASS ACOM$918K12,98381764X103
MCDONALDS CORPCOM$913.9K3,381580135101
GSK PLC ADR FCOM$902.2K17,21137733W204
EXLSERVICE HLDGS INCCOM$889.9K34,412302081104
DOMINOS PIZZA INCCOM$880.7K2,97525754A201
PRIMORIS SVCS CORPCOM$874.9K8,82774164F103
ISHARES RUSSELL 1000 ETFETF$799.9K1,953464287622
E L F BEAUTY INCCOM$799.1K10,79926856L103
DICKS SPORTING GOODS INCCOM$773K3,408253393102
CASELLA WASTE SYS INC CLASS ACOM$709.3K7,315147448104
CHEVRON CORP NEWCOM$705.1K4,254166764100
RAMBUS INC DELCOM$699.9K5,273750917106
TTM TECHNOLOGIES INCCOM$674.4K3,60687305R109
STARBUCKS CORPCOM$652.3K6,383855244109
APPFOLIO INC CLASS ACOM$635.5K3,96303783C100
HEALTHCARE SVCS GROUP INCOM$635.3K25,869421906108
GUIDEWIRE SOFTWARE INCCOM$611.4K4,96940171V100
SAILPOINT INCCOM$502.7K34,33578781J109
FRESHPET INCCOM$469.4K7,939358039105
IBM CORPCOM$444.9K1,582459200101
PLANET LABS PBC CLASS ACOM$428K12,91972703X106
SITEONE LANDSCAPE SUPPLYCOM$403.6K3,52882982L103
ITRON INC EQUITY CLASS EQUITYCOM$403.1K4,658465741106
SPDR GOLD MINISHARESETF$402.6K5,06998149E303
INNODATA INCCOM$389.7K5,156457642205
HOME DEPOT INCCOM$317.4K900437076102
VANGUARD GROWTH ETFETF$317.3K3,683922908736
UPSTART HLDGS INCCOM$295.1K8,33091680M107
VIAVI SOLUTIONS INCCOM$255.6K5,352925550105
PALANTIR TECHNOLOGIES IN CLASSCOM$247.2K2,11969608A108
DISNEY WALT COCOM$212.8K2,211254687106
LIONSGATE STUDIOS CORP FCOM$187K12,21553626N102
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-21