ESSEX INVESTMENT MANAGEMENT CO LLC

13F Portfolio Filings

  • Most recent 13F
    Q3 2024
  • Location
    boston, MA
  • CIK
    0000201772
  • All SEC filings
Q3 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

302

$573.68M
AMSC, DRS, AAPL, HCI
13F-HR
Oct 10, 2024
000020177224000006

302

$534.71M
AMSC, AAPL, MSFT, DRS
13F-HR
Aug 12, 2024
000020177224000004

306

$506.69M
MSFT, AAPL, HCI, NEE
13F-HR
May 3, 2024
000020177224000003

315

$507.94M
STERLING INFRASTRUCTURE INC, AAPL, HCI, MSFT
13F-HR
Feb 8, 2024
000020177224000001

356

$612.72M
AAPL, STERLING INFRASTRUCTURE INC, MSFT, HCI
13F-HR
Nov 9, 2023
000020177223000006

369

$716.19M
AAPL, STERLING INFRASTRUCTURE INC, MSFT, DGII
13F-HR
Aug 14, 2023
000020177223000005

386

$688.00M
AAPL, MSFT, SOY, STERLING INFRASTRUCTURE INC
13F-HR
May 4, 2023
000020177223000004

395

$642.00K
AAPL, MSFT, DGII, SOY
13F-HR
Feb 3, 2023
000020177223000003

411

$626.53M
AAPL, SOY, DGII, MSFT
13F-HR
Nov 14, 2022
000020177222000004

423

$619.03M
AAPL, MSFT, GNRC, DGII
13F-HR
Aug 12, 2022
000020177222000003

391

$802.42M
AAPL, MSFT, ASPN, TNDM
13F-HR
May 9, 2022
000020177222000002

405

$873.29M
AAPL, MSFT, AMZN, ASPN
13F-HR
Feb 10, 2022
000020177222000001

419

$815.17M
ASPN, MSFT, AMZN, AAPL
13F-HR
Nov 9, 2021
000020177221000006

419

$860.01M
AMZN, ASPN, MSFT, AAPL
13F-HR
Aug 12, 2021
000020177221000005

445

$820.02M
AMZN, AAPL, MSFT, RUN
13F-HR
May 12, 2021
000020177221000004

481

$805.52M
AMZN, RUN, AAPL, MSFT
13F-HR
Feb 12, 2021
000020177221000001

480

$698.74M
VSLR, AMZN, MSFT, AAPL
13F-HR
Nov 12, 2020
000020177220000007

423

$610.01M
AMZN, MSFT, AAPL, NFLX
13F-HR
Aug 4, 2020
000020177220000005

393

$493.85M
AMZN, MSFT, AAPL, VRTX
13F-HR
May 4, 2020
000020177220000004

475

$813.23M
DIS, AMZN, MSFT, BABA
13F-HR
Feb 10, 2020
000020177220000003

468

$692.82M
DIS, MSFT, AMZN, HD
13F-HR
Oct 22, 2019
000020177219000007

477

$728.65M
IIPR, AMZN, DIS, MSFT
13F-HR
Aug 15, 2019
000020177219000006

481

$676.97M
IIPR, PANW, AMZN, WEED
13F-HR
May 15, 2019
000020177219000005

476

$637.14M
AMZN, PANW, MSFT, HD
NEW HOLDINGS
Feb 7, 2019
000020177219000004

475

$636.85M
AMZN, PANW, MSFT, HD
13F-HR
Feb 6, 2019
000020177219000003

398

$850.92M
AMZN, PANW, BIIB, RTN
13F-HR
Oct 16, 2018
000117266118001864

396

$798.88M
AMZN, PANW, RTN, HD
13F-HR
Jul 17, 2018
000117266118001388

367

$760.54M
AMZN, MORGAN STANLEY, PANW, RTN
13F-HR
Apr 26, 2018
000117266118000975

355

$758.32M
AMZN, MORGAN STANLEY, HD, PANW
13F-HR
Feb 5, 2018
000117266118000257

353

$735.81M
AMZN, CELG, AAPL, MORGAN STANLEY
13F-HR
Oct 30, 2017
000117266117001854

340

$698.75M
AMZN, AAPL, CELG, MORGAN STANLEY
13F-HR
Jul 28, 2017
000117266117001439

346

$638.15M
AMZN, AAPL, CELG, MORGAN STANLEY
13F-HR
Apr 27, 2017
000117266117000951

339

$607.19M
AMZN, AAPL, CELG, MORGAN STANLEY
13F-HR
Feb 8, 2017
000117266117000275

331

$620.88M
AMZN, AAPL, PANW, CELG
13F-HR
Nov 1, 2016
000117266116004084

314

$600.74M
AMZN, AEM, BMY, GOLD
13F-HR
Jul 27, 2016
000117266116003610

312

$583.55M
AMZN, FSLR, BMY, AEM
13F-HR
May 9, 2016
000117266116003191

309

$639.77M
AMZN, PANW, FSLR, BMY
13F-HR
Jan 26, 2016
000117266116002326

318

$608.91M
PANW, AMZN, JBLU, GILD
13F-HR
Nov 4, 2015
000117266115001872

312

$662.20M
PANW, AAPL, BMY, DIS
13F-HR
Jul 28, 2015
000117266115001391

316

$714.66M
PANW, WT, AAPL, BMY
13F-HR
May 6, 2015
000117266115000983

332

$686.66M
GILD, CELG, JBLU, PANW
13F-HR
Jan 27, 2015
000117266115000179

355

$653.50M
GILD, CELG, META, SLB
13F-HR
Oct 29, 2014
000117266114001643

354

$678.92M
GILD, CELG, AAPL, SLB
13F-HR
Jul 23, 2014
000117266114001263

344

$686.83M
GILD, YHOO, GOOGL, CELG
13F-HR
Apr 28, 2014
000117266114000899

360

$707.37M
GILD, GOOGL, CELG, AAPL
13F-HR
Jan 28, 2014
000117266114000176