Holdings Channel
Size ($ in 1000's)
At 12/31/2018: $183,723
At 09/30/2018: $210,448

Aurora Investment Counsel holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Aurora Investment Counsel 13F filings. Link to 13F filings: SEC filings

Aurora Investment Counsel Top Holdings
As of  12/31/2018

   EntityAmountChange
 09/30/2018 to 12/31/2018
Position Size
($ in 1000's)
NetEase Inc. 12,967 +856 $3,052
     NTES12,967+856$3,052
T Mobile US Inc. 45,426 +930 $2,890
     TMUS45,426+930$2,890
Equity Commonwealth      $2,824
     EQC50,204+1,816$1,507
     EQC.PRD52,175+1,977$1,317
Hasbro Inc. 33,199 +979 $2,697
     HAS33,199+979$2,697
Lamar Advertising Company 38,221 +726 $2,644
     LAMR38,221+726$2,644
Walt Disney Company 23,117 +188 $2,535
     DIS23,117+188$2,535
Caterpillar 18,630 +18,630 $2,367
     CAT18,630+18,630$2,367
Comcast Corporation 68,609 -1,646 $2,336
     CMCSA68,609-1,646$2,336
KAR Auction Services Inc. 47,719 -2,802 $2,277
     KAR47,719-2,802$2,277
Charles Schwab Corp 54,074 +54,074 $2,246
     SCHW54,074+54,074$2,246
Cedar Fair L.P. 46,753 +4,618 $2,211
     FUN46,753+4,618$2,211
Albemarle Corporation 28,496 +1,464 $2,196
     ALB28,496+1,464$2,196
O Reilly Automotive Inc. 6,367 -1,379 $2,192
     ORLY6,367-1,379$2,192
Electronic Arts Inc. 27,243 +9,669 $2,150
     EA27,243+9,669$2,150
Yelp Inc. 61,339 +61,339 $2,146
     YELP61,339+61,339$2,146
Middleby 20,592 +795 $2,115
     MIDD20,592+795$2,115
Six Flags Entertainment Corpor 37,786 +2,281 $2,102
     SIX37,786+2,281$2,102
Dollar General Corporation 19,196 -8,832 $2,075
     DG19,196-8,832$2,075
Gaming and Leisure Properties 64,028 +1,920 $2,069
     GLPI64,028+1,920$2,069
Viper Energy Partners LP 79,441 +20,208 $2,069
     VNOM79,441+20,208$2,069
Selective Insurance Group Inc 32,877 -4,258 $2,004
     SIGI32,877-4,258$2,004
Innoviva Inc. 114,635 +5,535 $2,000
     INVA114,635+5,535$2,000
InfraREIT Inc. 95,004 -2,240 $1,997
     HIFR95,004-2,240$1,997
Henry Schein Inc. 25,397 -3,598 $1,994
     HSIC25,397-3,598$1,994
Graphic Packaging Holding Comp 186,699 +31,009 $1,986
     GPK186,699+31,009$1,986
Criteo S.A. 87,311 +8,165 $1,984
     CRTO87,311+8,165$1,984
Cintas Corp. 11,792 +11,792 $1,981
     CTAS11,792+11,792$1,981
Highwoods Properties Inc. 50,772 +1,697 $1,964
     HIW50,772+1,697$1,964
Paychex Inc 30,135 +30,135 $1,963
     PAYX30,135+30,135$1,963
FedEx Corporation 12,081 +12,081 $1,949
     FDX12,081+12,081$1,949
Booking Holdings Inc 1,115 +1,115 $1,920
     BKNG1,115+1,115$1,920
IDACORP Inc. 20,415 +402 $1,900
     IDA20,415+402$1,900
Dominion Energy Inc. 26,439 +592 $1,889
     D26,439+592$1,889
Interpublic Group of Companies 89,441 +4,006 $1,845
     IPG89,441+4,006$1,845
CoPart Inc. 38,434 +38,434 $1,836
     CPRT38,434+38,434$1,836
Avery Dennison Corporation 20,390 +1,945 $1,832
     AVY20,390+1,945$1,832
Brunswick Corporation 39,197 +1,158 $1,821
     BC39,197+1,158$1,821
Arista Networks Inc. 8,583 +8,583 $1,808
     ANET8,583+8,583$1,808
Kansas City Southern 18,835 +1,110 $1,798
     KSU18,835+1,110$1,798
LogMeIn Inc. 21,696 +2,702 $1,770
     LOGM21,696+2,702$1,770
j2 Global Inc. 25,428 -880 $1,764
     JCOM25,428-880$1,764
Ameren Corporation 26,582 +570 $1,734
     AEE26,582+570$1,734
TriNet Group Inc. 40,832 +9,201 $1,713
     TNET40,832+9,201$1,713
Skechers U.S.A. Inc. 74,651 +10,245 $1,709
     SKX74,651+10,245$1,709
CBRE Group Inc. 42,669 +3,755 $1,708
     CBRE42,669+3,755$1,708
PetMed Express Inc. 73,435 +27,447 $1,708
     PETS73,435+27,447$1,708
Tractor Supply Company 20,236 -8,758 $1,688
     TSCO20,236-8,758$1,688
Sabre Corporation 77,859 -10,893 $1,685
     SABR77,859-10,893$1,685
Trex Company Inc. 28,239 -3,415 $1,676
     TREX28,239-3,415$1,676
CDK Global Inc. 34,980 +5,293 $1,675
     CDK34,980+5,293$1,675

See Full List: All Stocks Held By Aurora Investment Counsel
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Aurora Investment Counsel

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