>> Funds List: A B C D E F G H I J K L M N O P Q R S T U V W X Y Z
Please wait..

Fund Holdings of WESTFIELD CAPITAL MANAGEMENT CO LLC Filed on 2012-02-13

Link to Original SEC 13F filings sorted on filing date: 2012-02-13 | 2011-11-10 | 2011-08-12 | 2011-05-16 | 2011-02-11 | 2010-11-12 | 2010-08-11 | 2010-05-10 | 2010-02-11 | 2009-11-12 | 2009-08-13 | 2009-05-14 | 2009-02-12 | 2008-11-12 | 2008-08-12 | 2008-05-12 |

1. Fund Information

Fund NameWESTFIELD CAPITAL MANAGEMENT CO LLC
Fund Manager
AddressONE FINANCIAL CENTER, 24FL
BOSTON, MA, 02111
::Google Map
Phone(617) 428-7100
13F Asset Last Qtr$12,623,013,760
13F Asset This Qtr$13,528,539,950
Asset Change7.17%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Port.
1.)APPLE INC.AAPL1,167,475$472,827Added 5.91%3.50%
2.)GOOGLE INC.GOOG558,133$360,498Cut -2.74%2.66%
3.)CELGENE CORPORATIONCELG5,214,867$352,525Cut -6.81%2.61%
4.)HERSHEY COMPANY (THE)HSY4,044,719$249,883Cut -2.56%1.85%
5.)QUALCOMM INCORPORATEDQCOM3,599,520$196,894Cut -18.83%1.46%
6.)CISCO SYSTEMS, INC.CSCO10,871,193$196,551Added 10.18%1.45%
7.)VALERO ENERGY CORP.VLO9,254,923$194,816Cut -2.93%1.44%
8.)COMCAST CORPORATIONCMCSA8,109,399$192,274Added 23.51%1.42%
9.)LILLY (ELI) & CO.LLY4,626,176$192,264Cut -3.16%1.42%
10.)ORACLE CORPORATIONORCL7,440,881$190,859Cut -2.85%1.41%
11.)TYCO INTERNATIONAL LTD. (SWITZERLAND)TYC4,052,371$189,286Added 18,695.78%1.40%
12.)UNITED TECHNOLOGIES CORP.UTX2,579,636$188,546Cut -3.21%1.39%
13.)VERTEX PHARMACEUTICALS INCORPORATEDVRTX5,549,745$184,307Added 31.68%1.36%
14.)TESORO CORPORATIONTSO7,876,533$183,996Cut -10.74%1.36%
15.)GENERAL MILLS, INC.GIS4,407,201$178,095Cut -2.86%1.32%
16.)DANAHER CORP.DHR3,711,840$174,605Cut -3.54%1.29%
17.)RALCORP HOLDINGS, INC.RAH1,981,320$169,403Cut -3.80%1.25%
18.)MASTERCARD INCMA454,344$169,389Cut -2.84%1.25%
19.)EMC CORP. (MA)EMC7,851,240$169,116Cut -2.76%1.25%
20.)WARNER CHILCOTT PLCWCRX10,994,458$166,346Cut -4.25%1.23%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)MACYS INCM4,688,741$150,8841.12%
2.)STANLEY BLACK & DECKER, INC.SWK2,202,306$148,8761.10%
3.)LOWE COMPANIES INCLOW5,834,870$148,0891.09%
4.)NEWMONT MINING CORP. (HOLDING CO.)NEM2,304,610$138,3001.02%
5.)STARBUCKS CORPORATIONSBUX2,730,133$125,6130.93%
6.)WELLS FARGO & CO.WFC4,015,548$110,6690.82%
7.)APOLLO GROUP, INC.APOL1,428,551$76,9560.57%
8.)WILLIAMS-SONOMA, INC.WSM1,779,275$68,5020.51%
9.)SIGNET JEWELERS LTDSIG1,201,170$52,8030.39%
10.)COMERICA, INC.CMA1,893,345$48,8480.36%
11.)J.B. HUNT TRANSPORT SERVICES, INC.JBHT1,057,165$47,6460.35%
12.)UNITED RENTALS, INC.URI1,384,640$40,9160.30%
13.)TIMKEN CO. (THE)TKR1,031,095$39,9140.30%
14.)SUNTRUST BANKS, INC.STI2,207,264$39,0690.29%
15.)MONEYGRAM INTERNATIONAL INC NEWMGI1,819,065$32,2880.24%
16.)SKYWORKS SOLUTIONS, INC.SWKS1,803,040$29,2450.22%
17.)DOLLAR GENERAL CORPDG557,190$22,9230.17%
18.)FAMILY DOLLAR STORES, INC.FDO377,122$21,7450.16%
19.)BED BATH & BEYOND INC.BBBY351,530$20,3780.15%
20.)SWIFT TRANSPORTATION COMPANY CLASS A COMMON STOCKSWFT2,368,295$19,5150.14%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)GILEAD SCIENCES, INC.GILD4,830,604$187,4271.49%
2.)FEDEX CORPFDX2,725,352$184,4521.46%
3.)AETNA INC.AET4,256,441$154,6791.23%
4.)BORG WARNER INCBWA2,153,024$130,3231.03%
5.)PRICELINE.COM INCORPORATEDPCLN266,151$119,6240.95%
6.)AMAZON.COM, INC.AMZN488,036$105,5280.84%
7.)STARWOOD HOTELS & RESORTS WORLDWIDE INCHOT2,592,268$100,6320.80%
8.)ILLUMINA, INC.ILMN1,998,859$81,7930.65%
9.)BMC SOFTWARE, INC.BMC1,822,281$70,2670.56%
10.)ALTERA CORPORATIONALTR2,087,059$65,8050.52%
11.)LIFE TECHNOLOGIES CORPORATIONLIFE1,421,250$54,6190.43%
12.)INTERNATIONAL FLAVORS & FRAGRANCES INC.IFF850,794$47,8320.38%
13.)HOSPITALITY PROPERTIES TRUSTHPT2,032,345$43,1470.34%
14.)GREIF INCGEF980,965$42,0740.33%
15.)SNAP-ON, INC.SNA757,819$33,6470.27%
16.)GREEN MOUNTAIN COFFEE ROASTERS, INC.GMCR289,540$26,9100.21%
17.)INTERCONTINENTALEXCHANGE INCICE218,985$25,8970.21%
18.)MF GLOBAL HOLDINGS LTD COMMON STOCKMF6,139,376$25,3560.20%
19.)COMMUNITY HEALTH SYSTEMS, INC.CYH1,460,400$24,3010.19%
20.)FOSSIL, INC.FOSL270,853$21,9550.17%