Oak Ridge Investments 13F annual report

Oak Ridge Investments is an investment fund managing more than $1.05 trillion ran by John Brinckerhoff. There are currently 144 companies in Mr. Brinckerhoff’s portfolio. The largest investments include Microsoft and Apple Inc, together worth $204 billion.

$1.05 trillion Assets Under Management (AUM)

As of 9th July 2024, Oak Ridge Investments’s top holding is 244,990 shares of Microsoft currently worth over $109 billion and making up 10.4% of the portfolio value. Relative to the number of outstanding shares of Microsoft, Oak Ridge Investments owns more than approximately 0.1% of the company. In addition, the fund holds 449,224 shares of Apple Inc worth $94.6 billion, whose value grew 27.6% in the past six months. The third-largest holding is NVIDIA Corp worth $89.2 billion and the next is Amazon.com worth $54.8 billion, with 283,447 shares owned.

Currently, Oak Ridge Investments's portfolio is worth at least $1.05 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Oak Ridge Investments

The Oak Ridge Investments office and employees reside in Chicago, Illinois. According to the last 13-F report filed with the SEC, John Brinckerhoff serves as the Chief Operating Officer at Oak Ridge Investments.

Recent trades

In the most recent 13F filing, Oak Ridge Investments revealed that it had opened a new position in Intuitive Surgical Inc and bought 9,362 shares worth $4.16 billion. This means they effectively own approximately 0.1% of the company. Intuitive Surgical Inc makes up 4.2% of the fund's Health Care sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Microsoft by buying 10,879 additional shares. This makes their stake in Microsoft total 244,990 shares worth $109 billion. Microsoft dropped approximately 0.1% in the past year.

On the other hand, there are companies that Oak Ridge Investments is getting rid of from its portfolio. Oak Ridge Investments closed its position in Abbott Labs on 16th July 2024. It sold the previously owned 41,011 shares for $4.66 billion. John Brinckerhoff also disclosed a decreased stake in Eli Lilly & Co by 0.1%. This leaves the value of the investment at $43.8 billion and 48,396 shares.

One of the average hedge funds

The two most similar investment funds to Oak Ridge Investments are Washington Trust Bank and American Assets Investment Management. They manage $1.05 trillion and $1.05 trillion respectively.


John Brinckerhoff investment strategy

Oak Ridge Investments’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Technology — making up 38.5% of the total portfolio value. The fund focuses on investments in the United States as 71.5% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 40% of the total holdings value. On the other hand, small-cap stocks make up only 1.4% of the portfolio. The average market cap of the portfolio companies is close to $108 billion.

The complete list of Oak Ridge Investments trades based on 13F SEC filings

These positions were updated on July 16th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Microsoft Corporation
4.65%
244,990
$109,498,057,000 10.43%
Apple Inc
4.73%
449,224
$94,615,559,000 9.01%
NVIDIA Corp
945.16%
721,758
$89,165,983,000 8.49%
Amazon.com Inc.
4.55%
283,447
$54,776,036,000 5.22%
Eli Lilly & Co
12.96%
48,396
$43,816,318,000 4.17%
Alphabet Inc
4.67%
328,599
$60,103,783,000 5.73%
Meta Platforms Inc
4.62%
71,368
$35,985,173,000 3.43%
Broadcom Inc.
3.73%
12,402
$19,911,783,000 1.90%
Unitedhealth Group Inc
4.72%
37,050
$18,867,828,000 1.80%
Visa Inc
4.37%
67,037
$17,595,201,000 1.68%
KLA Corp.
5.21%
19,931
$16,433,309,000 1.57%
Ross Stores, Inc.
4.52%
97,669
$14,193,259,000 1.35%
Costco Whsl Corp New
4.36%
16,654
$14,155,733,000 1.35%
Transdigm Group Incorporated
1.47%
10,978
$14,025,603,000 1.34%
Mastercard Incorporated
4.57%
31,682
$13,976,831,000 1.33%
Oreilly Automotive Inc
3.64%
12,063
$12,739,252,000 1.21%
Netflix Inc.
5.00%
17,660
$11,918,381,000 1.14%
Arista Networks Inc
4.46%
31,156
$10,919,380,000 1.04%
Ecolab, Inc.
5.13%
42,464
$10,106,432,000 0.96%
Astrazeneca plc
4.84%
127,491
$9,943,023,000 0.95%
Verisk Analytics Inc
4.35%
36,717
$9,897,067,000 0.94%
Intuit Inc
4.32%
14,530
$9,548,933,000 0.91%
T-Mobile US Inc
4.99%
53,335
$9,396,560,000 0.90%
Saia Inc.
1.56%
19,517
$9,256,481,000 0.88%
Stryker Corp.
4.99%
25,479
$8,669,230,000 0.83%
Advanced Micro Devices Inc.
5.08%
52,489
$8,514,241,000 0.81%
Roper Technologies Inc
3.23%
14,357
$8,092,467,000 0.77%
ServiceNow Inc
4.25%
9,915
$7,799,833,000 0.74%
Fortinet Inc
4.52%
121,589
$7,328,169,000 0.70%
Dexcom Inc
4.46%
62,826
$7,123,212,000 0.68%
Tesla Inc
4.94%
35,750
$7,074,210,000 0.67%
Bellring Brands Inc
2.57%
123,612
$7,063,190,000 0.67%
Synopsys, Inc.
3.14%
11,436
$6,804,809,000 0.65%
ExlService Holdings Inc
3.61%
208,226
$6,529,967,000 0.62%
Axonics Inc
2.87%
96,101
$6,460,870,000 0.62%
Constellation Brands, Inc.
4.69%
23,850
$6,136,128,000 0.58%
Marsh & McLennan Cos., Inc.
5.62%
26,915
$5,671,529,000 0.54%
Danaher Corp.
4.31%
22,609
$5,648,859,000 0.54%
Unilever plc
4.81%
102,658
$5,645,163,000 0.54%
Ollies Bargain Outlet Hldgs
9.06%
55,059
$5,405,142,000 0.51%
Steris Plc
4.74%
24,255
$5,324,943,000 0.51%
Intercontinental Exchange In
5.01%
38,033
$5,206,337,000 0.50%
Construction Partners Inc
26.38%
90,406
$4,991,315,000 0.48%
Equinix Inc
5.49%
6,531
$4,941,355,000 0.47%
Nomad Foods Ltd
4.79%
290,787
$4,792,170,000 0.46%
Quanta Svcs Inc
555.40%
18,561
$4,716,037,000 0.45%
Napco Sec Technologies Inc
10.72%
90,647
$4,709,112,000 0.45%
Palomar Holdings, Inc.
10.48%
58,027
$4,708,891,000 0.45%
Abbott Labs
Closed
41,011
$4,661,310,000
Eog Res Inc
7.88%
36,183
$4,554,291,000 0.43%
Sps Comm Inc
29.58%
23,871
$4,491,567,000 0.43%
Matador Res Co
11.70%
75,045
$4,472,682,000 0.43%
Q2 Holdings Inc
10.68%
72,311
$4,362,523,000 0.42%
Intuitive Surgical Inc
Opened
9,362
$4,164,463,000 0.40%
United Rentals, Inc.
5.44%
6,434
$4,161,061,000 0.40%
Casella Waste Sys Inc
26.64%
41,807
$4,148,091,000 0.40%
Lantheus Holdings Inc
12.45%
51,449
$4,130,840,000 0.39%
Kinsale Cap Group Inc
8.41%
10,597
$4,082,812,000 0.39%
Insmed Inc
27.71%
60,851
$4,077,017,000 0.39%
Inspire Med Sys Inc
3.32%
30,317
$4,057,324,000 0.39%
Bjs Whsl Club Hldgs Inc
7.27%
46,185
$4,056,890,000 0.39%
Permian Resources Corp
12.26%
249,518
$4,029,716,000 0.38%
Descartes Sys Group Inc
10.59%
38,185
$3,697,835,000 0.35%
Axon Enterprise Inc
5.70%
12,380
$3,642,691,000 0.35%
Atkore Inc
10.59%
26,860
$3,624,220,000 0.35%
Alarm.com Holdings Inc
10.93%
56,270
$3,575,396,000 0.34%
Ensign Group Inc
9.86%
27,467
$3,397,393,000 0.32%
Cadre Holdings, Inc.
79.26%
100,361
$3,368,115,000 0.32%
Federal Signal Corp.
53.40%
39,673
$3,319,440,000 0.32%
Azek Co Inc
10.71%
78,158
$3,292,797,000 0.31%
Halozyme Therapeutics Inc.
12.72%
62,773
$3,286,794,000 0.31%
Five Below Inc
1.33%
29,960
$3,264,741,000 0.31%
Wingstop Inc
38.79%
7,644
$3,230,813,000 0.31%
Applied Indl Technologies In
10.15%
16,493
$3,199,642,000 0.30%
Middleby Corp.
22.80%
25,230
$3,093,450,000 0.29%
Vita Coco Co Inc
52.49%
109,720
$3,055,702,000 0.29%
WEX Inc
10.04%
16,674
$2,953,632,000 0.28%
OneSpaWorld Holdings Limited
10.06%
188,827
$2,902,271,000 0.28%
Shockwave Med Inc
Closed
8,747
$2,848,286,000
LKQ Corp
Closed
52,157
$2,785,705,000
Herc Holdings Inc
10.49%
20,571
$2,741,909,000 0.26%
TransMedics Group, Inc.
2.47%
17,815
$2,683,295,000 0.26%
RBC Bearings Inc.
12.56%
9,940
$2,681,613,000 0.26%
Waste Connections Inc
1.14%
15,181
$2,662,140,000 0.25%
Lattice Semiconductor Corp.
10.81%
45,614
$2,645,156,000 0.25%
Hims & Hers Health, Inc.
4.50%
127,542
$2,575,073,000 0.25%
SiTime Corp
10.56%
20,272
$2,521,431,000 0.24%
DoubleVerify Holdings, Inc.
10.92%
128,216
$2,496,366,000 0.24%
Endava plc
Closed
64,089
$2,437,946,000
Nike, Inc.
Closed
25,686
$2,413,939,000
Epam Sys Inc
4.75%
12,637
$2,377,146,000 0.23%
NV5 Global Inc
10.83%
25,344
$2,356,232,000 0.22%
Euronet Worldwide Inc
12.52%
22,599
$2,338,997,000 0.22%
YETI Holdings Inc
Closed
55,280
$2,131,044,000
Grocery Outlet Hldg Corp
Closed
73,820
$2,124,540,000
Boot Barn Holdings Inc
12.51%
15,568
$2,007,182,000 0.19%
Argenx Se
8.64%
4,601
$1,978,614,000 0.19%
Chipotle Mexican Grill
4,842.72%
30,200
$1,892,030,000 0.18%
AeroVironment Inc.
Opened
10,290
$1,874,426,000 0.18%
Progyny Inc
10.08%
64,654
$1,849,751,000 0.18%
Paycom Software Inc
Closed
9,254
$1,841,694,000
Ametek Inc
74.75%
10,805
$1,801,218,000 0.17%
Treehouse Foods Inc
Closed
45,840
$1,785,468,000
Monolithic Pwr Sys Inc
0.24%
2,079
$1,708,273,000 0.16%
Blueprint Medicines Corp
29.17%
15,744
$1,696,888,000 0.16%
Tyler Technologies, Inc.
0.75%
3,319
$1,668,727,000 0.16%
Treace Med Concepts Inc
Closed
126,221
$1,647,184,000
Qualcomm, Inc.
0.37%
7,748
$1,543,247,000 0.15%
Agios Pharmaceuticals Inc
12.00%
35,236
$1,519,376,000 0.14%
UroGen Pharma Ltd
30.59%
79,929
$1,341,209,000 0.13%
Amphenol Corp.
100.00%
18,766
$1,264,265,000 0.12%
Gallagher Arthur J & Co
0.21%
4,818
$1,249,356,000 0.12%
Northern Oil & Gas Inc
12.50%
33,547
$1,246,942,000 0.12%
Alphatec Holdings Inc
11.73%
117,092
$1,223,611,000 0.12%
Xponential Fitness, Inc.
59.77%
78,089
$1,218,188,000 0.12%
Remitly Global Inc
Opened
92,763
$1,124,288,000 0.11%
Axsome Therapeutics Inc
12.52%
13,936
$1,121,848,000 0.11%
Diamondback Energy Inc
154.90%
5,358
$1,072,618,000 0.10%
Cytokinetics Inc
Opened
18,488
$1,001,680,000 0.10%
Penumbra Inc
12.52%
5,486
$987,315,000 0.09%
Corcept Therapeutics Inc
Opened
30,272
$983,537,000 0.09%
Arrowhead Pharmaceuticals In
12.72%
36,600
$951,234,000 0.09%
Crowdstrike Holdings Inc
0.37%
2,470
$946,479,000 0.09%
CDW Corp
0.24%
4,202
$940,576,000 0.09%
Regal Rexnord Corporation
0.24%
6,730
$910,031,000 0.09%
Watsco, Inc.
4.47%
1,962
$908,877,000 0.09%
Idexx Labs Inc
0.22%
1,835
$894,012,000 0.09%
Schrodinger, Inc.
Closed
32,296
$871,992,000
Old Dominion Freight Line In
0.25%
4,880
$861,808,000 0.08%
Deckers Outdoor Corp.
0.23%
886
$857,604,000 0.08%
Vertex Pharmaceuticals, Inc.
4.05%
1,822
$854,008,000 0.08%
Intra-Cellular Therapies Inc
Opened
11,839
$810,853,000 0.08%
Ultragenyx Pharmaceutical In
Opened
19,350
$795,285,000 0.08%
Biohaven Ltd
197.58%
22,000
$763,620,000 0.07%
Ge Healthcare Technologies I
0.24%
9,655
$752,318,000 0.07%
Prologis Inc
0.27%
6,309
$708,564,000 0.07%
Ishares Tr
60.92%
7,177
$1,371,443,000 0.13%
Caseys Gen Stores Inc
Opened
1,724
$657,809,000 0.06%
Mettler-Toledo International, Inc.
0.25%
399
$557,638,000 0.05%
MSCI Inc
0.27%
1,103
$531,370,000 0.05%
Waters Corp.
0.24%
1,695
$491,753,000 0.05%
Expedia Group Inc
55.60%
3,845
$484,432,000 0.05%
Take-two Interactive Softwar
3.92%
3,088
$480,153,000 0.05%
Yum China Holdings Inc
1.60%
15,393
$474,720,000 0.05%
Travere Therapeutics Inc
12.65%
57,584
$473,340,000 0.05%
Guardant Health Inc
12.71%
16,184
$467,394,000 0.04%
Exact Sciences Corp.
24.43%
10,635
$449,329,000 0.04%
Vertiv Holdings Co
Opened
4,169
$360,910,000 0.03%
JPMorgan Chase & Co.
23.28%
1,340
$271,028,000 0.03%
Celsius Holdings Inc
Opened
4,568
$260,787,000 0.02%
Kinder Morgan Inc
12.35%
12,470
$247,779,000 0.02%
Oracle Corp.
Opened
1,665
$235,027,000 0.02%
Blackstone Inc
Opened
1,855
$229,649,000 0.02%
Abbvie Inc
Opened
1,240
$212,685,000 0.02%
Walmart Inc
Opened
2,997
$202,927,000 0.02%
No transactions found
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