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Decatur Capital Management, Inc.

13F filer · CIK 0001505961
Reported Aug 14, 2026
Net buyer this quarter
13F portfolio value$295MU.S. long equity reported on 13F
Positions5328 new · 7 closed
Net flow last quarter+$42.3MBuys minus sells
Top 10 positions weight59.9%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q2 2026Reported Aug 14, 202653 positions
NVDANvidia Corp$34.7M11.79%0.00%0.0%Q4 2017
AAPLApple Inc.$31.2M10.60%0.00%0.0%Q1 2015
GOOGLAlphabet Inc.$20.1M6.82%0.00%+0.1%Q3 2015
MSFTMicrosoft Corp$19.7M6.67%0.00%+8.6%Q4 2015
AMZNAmazon Com Inc$17.2M5.83%0.00%+25.8%Q4 2013
KLACKla Corp$12.9M4.37%0.00%-33.8%Q2 2013
AVGOBroadcom Inc.$12.1M4.11%0.00%-0.3%Q4 2023
METAMeta Platforms, Inc.$10.5M3.55%Not reported+21.8%Q3 2013
AMEAmetek Inc/$9.4M3.19%0.02%+0.1%Q2 2013
LLYELI LILLY & Co$8.76M2.97%0.00%+0.1%Q2 2023
SNASnap-on Inc$7.99M2.71%0.04%Not reportedQ1 2019
APHAmphenol Corp$6.24M2.12%0.00%0.0%Q2 2013
MAMastercard Inc$5.79M1.96%0.00%Not reportedQ2 2013
ECLEcolab Inc.$5.65M1.92%0.01%Not reportedQ2 2019
TDYTeledyne Technologies Inc$5.42M1.84%0.02%NewQ2 2026
NDSNNordson Corp$4.93M1.67%0.03%NewQ2 2026
IDXXIdexx Laboratories Inc$4.92M1.67%0.01%Not reportedQ3 2019
TJXTJX Companies Inc$4.68M1.59%0.00%0.0%Q4 2019
ROPRoper Technologies Inc$4.42M1.50%0.01%NewQ2 2026
LRCXLam Research Corp$3.97M1.35%0.00%NewQ2 2026
KOCoca Cola Co$3.86M1.31%0.00%0.0%Q2 2013
GOOGAlphabet Inc.$3.78M1.28%Not reportedNewQ2 2026
DRIDarden Restaurants Inc$3.49M1.18%0.01%0.0%Q1 2025
SPGIS&P Global Inc.$3.3M1.12%0.00%+101.3%Q2 2016
NFLXNetflix Inc$3.23M1.10%0.00%0.0%Q3 2015
COSTCostco Wholesale Corp$3.21M1.09%0.00%+0.2%Q4 2013
MSMorgan Stanley$3.14M1.06%0.00%0.0%Q4 2016
CDNSCadence Design Systems Inc$3.04M1.03%0.00%+0.5%Q2 2019
SCHWSchwab Charles Corp$2.99M1.02%0.00%NewQ2 2026
HDHome Depot, Inc.$2.94M1.00%0.00%Not reportedQ3 2013
CMECme Group Inc.$2.55M0.87%0.00%+0.1%Q1 2025
TMOThermo Fisher Scientific Inc.$2.29M0.78%0.00%Not reportedQ3 2020
VRTXVertex Pharmaceuticals Inc / Ma$2.17M0.74%0.00%+0.2%Q2 2020
LPLALPL Financial Holdings Inc.$2.04M0.69%0.01%NewQ2 2026
KKRKKR & Co. Inc.$1.75M0.59%0.00%NewQ2 2026
VNTVontier Corp$1.68M0.57%0.04%NewQ2 2026
SSNCSS&C Technologies Holdings Inc$1.62M0.55%0.01%Not reportedQ4 2016
ITWIllinois Tool Works Inc$1.54M0.52%0.00%0.0%Q3 2020
TRUTransUnion$1.47M0.50%0.01%Not reportedQ2 2018
ULTAUlta Beauty, Inc.$1.45M0.49%0.01%Not reportedQ2 2017
MSCIMSCI Inc.$1.41M0.48%0.00%NewQ2 2026
BRK.BBerkshire Hathaway Inc$1.33M0.45%Not reportedNewQ2 2026
ROKRockwell Automation, Inc$1.27M0.43%0.00%Not reportedQ4 2021
FDSFactset Research Systems Inc$1.27M0.43%0.02%NewQ2 2026
CRMSalesforce, Inc.$1.1M0.37%0.00%Not reportedQ3 2018
CPAYCorpay, Inc.$1.1M0.37%0.01%NewQ2 2026
MCKMckesson Corp$1.1M0.37%0.00%NewQ2 2026
TXNTexas Instruments Inc$1.02M0.35%0.00%Not reportedQ4 2013
ADBEAdobe Inc.$799K0.27%0.00%Not reportedQ3 2013
ZTSZoetis Inc.$657K0.22%0.00%Not reportedQ2 2014
Q1 2026Reported May 13, 202632 positions
NVDANvidia Corp$30.3M13.85%0.00%-1.6%Q4 2017
AAPLApple Inc.$27.4M12.54%0.00%-1.5%Q1 2015
MSFTMicrosoft Corp$18M8.22%0.00%-1.8%Q4 2015
GOOGLAlphabet Inc.$16.2M7.40%0.00%-1.6%Q3 2015
AMZNAmazon Com Inc$11.9M5.46%0.00%-1.5%Q4 2013
AVGOBroadcom Inc.$9.95M4.55%0.00%-1.9%Q4 2023
KLACKla Corp$9.49M4.34%0.00%-1.6%Q2 2013
METAMeta Platforms, Inc.$8.74M4.00%Not reported-1.6%Q3 2013
AMEAmetek Inc/$8.32M3.81%0.02%-1.6%Q2 2013
LLYELI LILLY & Co$6.71M3.07%0.00%-1.6%Q2 2023
MAMastercard Inc$5.63M2.58%0.00%-1.6%Q2 2013
TJXTJX Companies Inc$4.93M2.26%0.00%-1.6%Q4 2019
APHAmphenol Corp$4.47M2.04%0.00%-1.6%Q2 2013
NFLXNetflix Inc$4.35M1.99%0.00%-1.6%Q3 2015
GMGeneral Motors Co$4.33M1.98%0.01%Not reportedQ2 2013
BKNGBooking Holdings Inc.$4.08M1.87%0.00%-1.6%Q3 2023
FTNTFortinet, Inc.$3.63M1.66%0.01%-1.6%Q2 2013
KOCoca Cola Co$3.61M1.65%0.00%-1.5%Q2 2013
COSTCostco Wholesale Corp$3.42M1.56%0.00%-1.6%Q4 2013
CMECme Group Inc.$3.41M1.56%0.00%-1.6%Q1 2025
DRIDarden Restaurants Inc$3.32M1.52%0.01%-1.5%Q1 2025
ORCLOracle Corp$3.06M1.40%0.00%-1.6%Q3 2020
TPLTexas Pacific Land Corp$3.06M1.40%0.01%NewQ1 2026
VMCVulcan Materials CO$2.85M1.30%0.01%-1.6%Q1 2021
HDHome Depot, Inc.$2.74M1.25%0.00%-1.6%Q3 2013
MSMorgan Stanley$2.47M1.13%0.00%-1.5%Q4 2016
LMTLockheed Martin Corp$2.41M1.10%0.00%-1.5%Q1 2022
TMOThermo Fisher Scientific Inc.$2.24M1.03%0.00%-1.6%Q3 2020
CDNSCadence Design Systems Inc$2.24M1.02%0.00%-1.6%Q2 2019
VRTXVertex Pharmaceuticals Inc / Ma$1.95M0.89%0.00%-1.6%Q2 2020
SPGIS&P Global Inc.$1.71M0.78%0.00%-1.5%Q2 2016
ITWIllinois Tool Works Inc$1.48M0.68%0.00%-1.6%Q3 2020
Q4 2025Reported Feb 11, 202634 positions
NVDANvidia Corp$32.9M13.38%0.00%-5.0%Q4 2017
AAPLApple Inc.$29.8M12.13%0.00%-4.7%Q1 2015
MSFTMicrosoft Corp$23.9M9.73%0.00%-5.5%Q4 2015
GOOGLAlphabet Inc.$17.9M7.28%0.00%-4.8%Q3 2015
AMZNAmazon Com Inc$13.4M5.46%0.00%-4.6%Q4 2013
AVGOBroadcom Inc.$11.3M4.61%0.00%-5.0%Q4 2023
METAMeta Platforms, Inc.$10.2M4.17%Not reported-5.0%Q3 2013
AMEAmetek Inc/$8.1M3.29%0.02%Not reportedQ2 2013
LLYELI LILLY & Co$7.97M3.24%0.00%-4.9%Q2 2023
KLACKla Corp$7.96M3.24%0.01%-28.8%Q2 2013
APPAppLovin Corp$7.77M3.16%0.00%-5.0%Q2 2025
MAMastercard Inc$6.53M2.66%0.00%-4.8%Q2 2013
BKNGBooking Holdings Inc.$5.28M2.15%0.00%-4.9%Q3 2023
APHAmphenol Corp$4.86M1.98%0.00%-4.8%Q2 2013
TJXTJX Companies Inc$4.82M1.96%0.00%Not reportedQ4 2019
NFLXNetflix Inc$4.31M1.75%0.00%-4.9%Q3 2015
ORCLOracle Corp$4.13M1.68%0.00%-5.0%Q3 2020
FTNTFortinet, Inc.$3.58M1.46%0.01%-5.0%Q2 2013
INTUIntuit Inc.$3.44M1.40%0.00%-4.7%Q3 2019
KOCoca Cola Co$3.37M1.37%0.00%-5.1%Q2 2013
CMECme Group Inc.$3.21M1.30%0.00%-5.0%Q1 2025
DRIDarden Restaurants Inc$3.16M1.29%0.01%-5.0%Q1 2025
VMCVulcan Materials CO$3.03M1.23%0.01%-5.0%Q1 2021
COSTCostco Wholesale Corp$3.01M1.22%0.00%-4.9%Q4 2013
HDHome Depot, Inc.$2.91M1.19%0.00%-4.8%Q3 2013
MSMorgan Stanley$2.71M1.10%0.00%-4.7%Q4 2016
TMOThermo Fisher Scientific Inc.$2.69M1.09%0.00%-4.9%Q3 2020
CDNSCadence Design Systems Inc$2.56M1.04%0.00%-5.1%Q2 2019
SPGIS&P Global Inc.$2.13M0.87%0.00%-4.8%Q2 2016
VRTXVertex Pharmaceuticals Inc / Ma$2.01M0.82%0.00%-5.1%Q2 2020
LMTLockheed Martin Corp$1.96M0.80%0.00%-4.8%Q1 2022
VEEVVeeva Systems Inc$1.81M0.74%0.00%-5.1%Q3 2019
DOCSDoximity, Inc.$1.61M0.65%0.02%-5.1%Q3 2025
ITWIllinois Tool Works Inc$1.42M0.58%0.00%-4.7%Q3 2020
Q3 2025Reported Nov 13, 202537 positions
NVDANvidia Corp$34.6M13.75%0.00%+1.1%Q4 2017
AAPLApple Inc.$29.3M11.64%0.00%+1.2%Q1 2015
MSFTMicrosoft Corp$27.1M10.76%0.00%+1.0%Q4 2015
GOOGLAlphabet Inc.$14.6M5.80%0.00%-26.7%Q3 2015
AMZNAmazon Com Inc$13.4M5.32%0.00%0.0%Q4 2013
METAMeta Platforms, Inc.$12M4.76%Not reported-16.4%Q3 2013
AVGOBroadcom Inc.$11.4M4.52%0.00%+3.1%Q4 2023
KLACKla Corp$9.92M3.94%0.01%+3.9%Q2 2013
APPAppLovin Corp$8.72M3.46%0.00%+6.4%Q2 2025
MAMastercard Inc$6.84M2.72%0.00%0.0%Q2 2013
ORCLOracle Corp$6.27M2.49%0.00%+6.5%Q3 2020
LLYELI LILLY & Co$5.95M2.36%0.00%+0.2%Q2 2023
NFLXNetflix Inc$5.8M2.30%0.00%Not reportedQ3 2015
BKNGBooking Holdings Inc.$5.59M2.22%0.00%+0.3%Q3 2023
APHAmphenol Corp$4.67M1.86%0.00%+8.3%Q2 2013
FTNTFortinet, Inc.$3.99M1.58%0.01%+9.4%Q2 2013
INTUIntuit Inc.$3.72M1.48%0.00%+8.9%Q3 2019
HDHome Depot, Inc.$3.6M1.43%0.00%0.0%Q3 2013
DRIDarden Restaurants Inc$3.44M1.37%0.02%0.0%Q1 2025
VMCVulcan Materials CO$3.44M1.37%0.01%+0.4%Q1 2021
COSTCostco Wholesale Corp$3.39M1.35%0.00%+0.4%Q4 2013
KOCoca Cola Co$3.37M1.34%0.00%Not reportedQ2 2013
CMECme Group Inc.$3.34M1.33%0.00%+0.4%Q1 2025
CDNSCadence Design Systems Inc$3.03M1.20%0.00%+12.5%Q2 2019
DLRDigital Realty Trust, Inc.$2.83M1.12%0.00%+0.3%Q4 2024
DOCSDoximity, Inc.$2.79M1.11%0.02%NewQ3 2025
VEEVVeeva Systems Inc$2.54M1.01%0.01%+39.5%Q3 2019
MSMorgan Stanley$2.54M1.01%0.00%0.0%Q4 2016
TMOThermo Fisher Scientific Inc.$2.36M0.94%0.00%+15.1%Q3 2020
LMTLockheed Martin Corp$2.13M0.84%0.00%Not reportedQ1 2022
SPGIS&P Global Inc.$2.09M0.83%0.00%Not reportedQ2 2016
VRTXVertex Pharmaceuticals Inc / Ma$1.83M0.73%0.00%+0.6%Q2 2020
CPRTCopart Inc$1.64M0.65%0.00%+0.8%Q3 2014
ITWIllinois Tool Works Inc$1.58M0.63%0.00%Not reportedQ3 2020
EOGEog Resources Inc$1.31M0.52%0.00%+0.7%Q3 2014
SPYSPDR S&P 500 ETF Trust$466K0.19%Not reportedNot reportedQ3 2021
AMDAdvanced Micro Devices Inc$248K0.10%0.00%Not reportedQ4 2021
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