
GW&K INVESTMENT MANAGEMENT, LLC
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CSCO | 578K | $39.53M |
![]() | SPXC | 551K | $102.84M |
![]() | DORM | 549K | $85.64M |
![]() | KO | 545K | $36.12M |
![]() | BFAM | 542K | $58.85M |
![]() | SITE | 525K | $67.67M |
![]() | FNF | 513K | $31.00M |
![]() | PRIM | 507K | $69.66M |
![]() | SKY | 501K | $38.29M |
![]() | WTFC | 497K | $65.80M |
![]() | DSGX | 484K | $45.60M |
![]() | KD | 480K | $14.41M |
![]() | BBSI | 476K | $21.10M |
![]() | JAZZ | 455K | $59.93M |
![]() | MTX | 454K | $28.21M |
![]() | PNFP | 451K | $42.30M |
![]() | ATMU | 448K | $20.22M |
![]() | HQY | 447K | $42.36M |
![]() | FMBH | 442K | $16.76M |
![]() | SCI | 436K | $36.29M |

Cisco Systems, Inc.
CSCO
Shares Held
578K
Value
$39.53M

SPX Technologies, Inc.
SPXC
Shares Held
551K
Value
$102.84M

Dorman Products, Inc.
DORM
Shares Held
549K
Value
$85.64M

The Coca-Cola Company
KO
Shares Held
545K
Value
$36.12M

Bright Horizons Family Solutions Inc.
BFAM
Shares Held
542K
Value
$58.85M

SiteOne Landscape Supply, Inc.
SITE
Shares Held
525K
Value
$67.67M

Fidelity National Financial, Inc.
FNF
Shares Held
513K
Value
$31.00M

Primoris Services Corporation
PRIM
Shares Held
507K
Value
$69.66M

Champion Homes, Inc.
SKY
Shares Held
501K
Value
$38.29M

Wintrust Financial Corporation
WTFC
Shares Held
497K
Value
$65.80M

The Descartes Systems Group Inc.
DSGX
Shares Held
484K
Value
$45.60M

Kyndryl Holdings, Inc.
KD
Shares Held
480K
Value
$14.41M

Barrett Business Services, Inc.
BBSI
Shares Held
476K
Value
$21.10M

Jazz Pharmaceuticals plc
JAZZ
Shares Held
455K
Value
$59.93M

Minerals Technologies Inc.
MTX
Shares Held
454K
Value
$28.21M

Pinnacle Financial Partners, Inc.
PNFP
Shares Held
451K
Value
$42.30M

Atmus Filtration Technologies Inc.
ATMU
Shares Held
448K
Value
$20.22M

HealthEquity, Inc.
HQY
Shares Held
447K
Value
$42.36M

First Mid Bancshares, Inc.
FMBH
Shares Held
442K
Value
$16.76M

Service Corporation International
SCI
Shares Held
436K
Value
$36.29M
