Limited time — the Pro version is free for everyone$19.99 / monthStart free →
← Tracker

Institutional

Decatur Capital Management, Inc.

CIK 0001505961
$218.6M
Reported AUM
33
Positions
Q1 2026
Period
2026-05-13
Filed

The Brief · Decatur Capital Management, Inc. · Q1 2026

AI · grounded in 13F

Decatur Capital Management, Inc. exited its position in AppLovin Corporation APP, reducing its exposure by $7.77M. The fund also closed positions in Intuit Inc. INTU and Veeva Systems Inc. VEEV, while trimming shares in Microsoft Corporation MSFT and NVIDIA Corp NVDA. On the buy side, the fund established new positions in General Motors Company GM for $4.33M and Texas Pacific Land Corp TPL for $3.06M.

Portfolio · Q1 2026

NVDA$30.3MAAPL$27.4MMSFT$18.0MGOOGL$16.2MAMZN$11.9MAVGOKLACMETAAMELLYMATJXOther$61.0MDI

Top holdings

QoQ vs Q4 2025

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1NVDANVIDIA Corp$207.41-2.37%45.87%978.23%$30.3M13.85%2,786−1.6%
2AAPLApple Inc.$299.240.95%47.70%107.97%$27.4M12.54%1,679−1.5%
3MSFTMicrosoft Corporation$393.83-1.48%-16.91%43.86%$18.0M8.22%897−1.8%
4GOOGLAlphabet Inc Class A$373.251.06%121.79%176.04%$16.2M7.40%906−1.6%
5AMZNAmazon.com Inc.$246.00-0.01%17.93%48.63%$11.9M5.46%889−1.5%
6AVGOBroadcom Limited$376.71-4.37%56.19%775.19%$10.0M4.55%611−1.9%
7KLACKLA Corporation$237.33-7.44%181.01%617.12%$9.5M4.34%104−1.6%
8METAMeta Platforms, Inc.$600.211.13%-10.93%71.38%$8.7M4.00%246−1.6%
9AMEAmetek Inc.$231.900.63%32.07%72.29%$8.3M3.81%626−1.6%
10LLYEli Lilly & Co.$1122.50-0.61%48.87%385.40%$6.7M3.07%116−1.6%
11MAMastercard Inc.$501.332.18%-5.38%33.73%$5.6M2.58%179−1.6%
12TJXTJX Companies Inc.$166.32-0.60%36.32%159.97%$4.9M2.26%499−1.6%
13APHAmphenol Corp.$158.810.14%70.47%357.71%$4.5M2.04%564−1.6%
14NFLXNetflix Inc$78.72-3.61%-36.07%52.10%$4.4M1.99%720−1.6%
15GMGeneral Motors Company$82.51-1.86%72.75%51.14%$4.3M1.98%+58,097NEW
16BKNGBooking Holdings Inc.$175.720.62%-16.75%105.28%$4.1M1.87%16−1.6%
17FTNTFortinet, Inc$147.02-1.65%47.24%170.02%$3.6M1.66%711−1.6%
18KOCoca-Cola Company$80.28-0.78%19.92%63.21%$3.6M1.65%742−1.5%
19COSTCostco Wholesale Corp$986.680.74%-0.08%139.24%$3.4M1.56%55−1.6%
20CMECME Group Inc.$261.60-1.68%-0.81%52.14%$3.4M1.56%185−1.6%
21DRIDarden Restaurants Inc$209.050.14%-4.58%68.81%$3.3M1.52%263−1.5%
22ORCLOracle Corporation$188.33-2.24%-7.29%131.24%$3.1M1.40%332−1.6%
23TPLTexas Pacific Land Corp$356.35-1.77%-0.78%128.18%$3.1M1.40%+6,445NEW
24VMCVulcan Materials Co$300.832.68%18.39%73.94%$2.8M1.30%165−1.6%
25HDHome Depot Inc.$337.092.20%-1.02%16.32%$2.7M1.25%134−1.6%
26MSMorgan Stanley$220.831.31%70.42%170.29%$2.5M1.13%234−1.5%
27LMTLockheed Martin Corp.$535.951.05%16.84%64.83%$2.4M1.10%62−1.5%
28TMOThermo Fisher Scientific, Inc.$472.63-0.23%19.22%-11.24%$2.2M1.03%73−1.6%
29CDNSCadence Design Systems, Inc.$387.85-1.69%31.30%162.68%$2.2M1.02%128−1.6%
30VRTXVertex Pharmaceuticals$453.170.60%2.79%124.81%$1.9M0.89%69−1.6%
31SPGIS&P Global Inc.$433.252.16%$1.7M0.78%62−1.5%
32ITWIllinois Tool Works Inc.$265.781.25%$1.5M0.68%90−1.6%
33PRCOXT Rowe Price US Equity Researc$74.46-0.69%$206K0.09%+3,198NEW
34APPAppLovin Corporation$515.20-1.09%11,532EXITED
35INTUIntuit Inc.$280.99-0.28%5,188EXITED
36VEEVVeeva Systems Inc.$163.380.75%8,108EXITED
37DOCSDoximity Inc$20.891.02%36,255EXITED

Source: SEC EDGAR · accession 0001376474-26-000372. 13F discloses long positions only — shorts, foreign equities, and options are excluded.