Decatur Capital Management, Inc. Diversified Active

Location: Decatur, GA

CIK: 0001505961 · Show all filings

Period: Q1 2026 (← Previous) (Next →)

Filing Date: May 13, 2026

Total Value: $219M (100.0% shares, 0.0% debt)

Holdings (33)

NVDA NVIDIA Corp 13.9%
Value $30.27M Shares 173,584 Est. Cost $93.71 Unrealized +99.2%
AAPL Apple Inc. 12.5%
Value $27.41M Shares 107,984 Est. Cost $109.31 Unrealized +140.4%
MSFT Microsoft Corporation 8.2%
Value $17.97M Shares 48,548 Est. Cost $166.63 Unrealized +160.8%
GOOGL Alphabet Inc Class A 7.4%
Value $16.18M Shares 56,252 Est. Cost $116.11 Unrealized +178.4%
AMZN Amazon.com Inc. 5.5%
Value $11.93M Shares 57,301 Est. Cost $125.77 Unrealized +80.4%
AVGO Broadcom Limited 4.6%
Value $9.954M Shares 32,160 Est. Cost $160.36 Unrealized +108.4%
KLAC KLA Corporation 4.3%
Value $9.494M Shares 6,448 Est. Cost $338.94 Unrealized +331.4%
META Meta Platforms, Inc. 4.0%
Value $8.735M Shares 15,268 Est. Cost $269.20 Unrealized +143.5%
AME Ametek Inc. 3.8%
Value $8.318M Shares 38,803 Est. Cost $194.36 Unrealized +14.9%
LLY Eli Lilly & Co. 3.1%
Value $6.711M Shares 7,296 Est. Cost $466.44 Unrealized +124.5%
MA Mastercard Inc. 2.6%
Value $5.63M Shares 11,267 Est. Cost $322.17 Unrealized +67.3%
TJX TJX Companies Inc. 2.3%
Value $4.929M Shares 30,866 Est. Cost $147.70 Unrealized +4.4%
APH Amphenol Corp. 2.0%
Value $4.469M Shares 35,369 Est. Cost $49.56 Unrealized +195.4%
NFLX Netflix Inc 2.0%
Value $4.354M Shares 45,288 Est. Cost $102.42 Unrealized -18.1%
GM General Motors Company 2.0%
Value $4.328M Shares 58,097 Est. Cost $82.25 Unrealized 0.0%
BKNG Booking Holdings Inc. 1.9%
Value $4.08M Shares 969 Est. Cost $3344.02 Unrealized +43.0%
FTNT Fortinet, Inc 1.7%
Value $3.628M Shares 44,391 Est. Cost $73.91 Unrealized +8.2%
KO Coca-Cola Company 1.7%
Value $3.608M Shares 47,438 Est. Cost $67.92 Unrealized +10.1%
COST Costco Wholesale Corp 1.6%
Value $3.418M Shares 3,430 Est. Cost $344.13 Unrealized +180.1%
CME CME Group Inc. 1.6%
Value $3.413M Shares 11,557 Est. Cost $242.42 Unrealized +19.4%
DRI Darden Restaurants Inc 1.5%
Value $3.316M Shares 16,916 Est. Cost $188.66 Unrealized +9.9%
ORCL Oracle Corporation 1.4%
Value $3.065M Shares 20,832 Est. Cost $167.25 Unrealized +1.4%
TPL Texas Pacific Land Corp 1.4%
Value $3.059M Shares 6,445 Est. Cost $373.26 Unrealized 0.0%
VMC Vulcan Materials Co 1.3%
Value $2.846M Shares 10,450 Est. Cost $182.09 Unrealized +68.5%
HD Home Depot Inc. 1.3%
Value $2.741M Shares 8,335 Est. Cost $175.26 Unrealized +115.1%
MS Morgan Stanley 1.1%
Value $2.469M Shares 15,003 Est. Cost $75.23 Unrealized +138.8%
LMT Lockheed Martin Corp. 1.1%
Value $2.412M Shares 3,991 Est. Cost $376.64 Unrealized +59.5%
TMO Thermo Fisher Scientific, Inc. 1.0%
Value $2.243M Shares 4,564 Est. Cost $435.48 Unrealized +31.9%
CDNS Cadence Design Systems, Inc. 1.0%
Value $2.239M Shares 8,057 Est. Cost $123.96 Unrealized +144.7%
VRTX Vertex Pharmaceuticals 0.9%
Value $1.946M Shares 4,357 Est. Cost $327.97 Unrealized +42.6%
SPGI S&P Global Inc. 0.8%
Value $1.71M Shares 4,021 Est. Cost $211.32 Unrealized +129.6%
ITW Illinois Tool Works Inc. 0.7%
Value $1.482M Shares 5,694 Est. Cost $176.73 Unrealized +54.6%
PRCOX T Rowe Price US Equity Researc 0.1%
Value $206K Shares 3,198 Est. Cost $64.29 Unrealized