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Fund Dashboard
- Holdings
Buffalo Blue Chip Growth Fund
Fund Profile
Security | $Holding | Balance | % of Fund | Category | Position | Country |
---|---|---|---|---|---|---|
AAPL Apple Inc. | 15.38 mm | 66.01 k shares | 10.31 | Common equity | Long | USA |
MSFT Microsoft Corporation | 14.60 mm | 33.92 k shares | 9.78 | Common equity | Long | USA |
NVDA NVIDIA Corporation | 13.59 mm | 111.93 k shares | 9.11 | Common equity | Long | USA |
GOOG Alphabet Inc. | 8.54 mm | 51.50 k shares | 5.72 | Common equity | Long | USA |
AMZN Amazon.com, Inc. | 8.12 mm | 43.58 k shares | 5.44 | Common equity | Long | USA |
Fidelity Government Portfolio | 7.43 mm | 7.43 mm shares | 4.98 | Short-term investment vehicle | Long | USA |
META Meta Platforms, Inc. | 5.40 mm | 9.43 k shares | 3.62 | Common equity | Long | USA |
Broadcom Pte. Ltd. | 3.66 mm | 21.23 k shares | 2.45 | Common equity | Long | USA |
LLY Eli Lilly and Company | 3.04 mm | 3.44 k shares | 2.04 | Common equity | Long | USA |
V Visa Inc. | 2.79 mm | 10.16 k shares | 1.87 | Common equity | Long | USA |
Powershares Exchange Traded Fund Trust | 2.73 mm | 15.24 k shares | 1.83 | Common equity | Long | USA |
COST Costco Wholesale Corporation | 2.35 mm | 2.65 k shares | 1.57 | Common equity | Long | USA |
HD The Home Depot, Inc. | 1.87 mm | 4.61 k shares | 1.25 | Common equity | Long | USA |
ETN Eaton Corporation plc | 1.62 mm | 4.88 k shares | 1.08 | Common equity | Long | USA |
TT Trane Technologies plc | 1.53 mm | 3.93 k shares | 1.02 | Common equity | Long | Ireland |
UBER Uber Technologies, Inc. | 1.50 mm | 19.95 k shares | 1.00 | Common equity | Long | USA |
MA Mastercard Incorporated | 1.44 mm | 2.93 k shares | 0.97 | Common equity | Long | USA |
GE General Electric Company | 1.41 mm | 7.50 k shares | 0.95 | Common equity | Long | USA |
NOW ServiceNow, Inc. | 1.40 mm | 1.57 k shares | 0.94 | Common equity | Long | USA |
TJX The TJX Companies, Inc. | 1.38 mm | 11.72 k shares | 0.92 | Common equity | Long | USA |
ANET Arista Networks, Inc. | 1.32 mm | 3.45 k shares | 0.89 | Common equity | Long | USA |
ABT Abbott Laboratories | 1.26 mm | 11.03 k shares | 0.84 | Common equity | Long | USA |
NFLX Netflix, Inc. | 1.24 mm | 1.75 k shares | 0.83 | Common equity | Long | USA |
SPGI S&P Global Inc. | 1.23 mm | 2.38 k shares | 0.82 | Common equity | Long | USA |
SNPS Synopsys, Inc. | 1.22 mm | 2.40 k shares | 0.81 | Common equity | Long | USA |
AJG Arthur J. Gallagher & Co. | 1.20 mm | 4.25 k shares | 0.80 | Common equity | Long | USA |
CRH CRH plc | 1.19 mm | 12.85 k shares | 0.80 | Common equity | Long | USA |
ORLY O'Reilly Automotive, Inc. | 1.18 mm | 1.02 k shares | 0.79 | Common equity | Long | USA |
ECL Ecolab Inc. | 1.17 mm | 4.58 k shares | 0.78 | Common equity | Long | USA |
KLAC KLA Corporation | 1.16 mm | 1.50 k shares | 0.78 | Common equity | Long | USA |
TMO Thermo Fisher Scientific Inc. | 1.15 mm | 1.86 k shares | 0.77 | Common equity | Long | USA |
WMT Walmart Inc. | 1.14 mm | 14.08 k shares | 0.76 | Common equity | Long | USA |
LIN Linde plc | 1.11 mm | 2.33 k shares | 0.74 | Common equity | Long | USA |
CRM Salesforce, Inc. | 1.07 mm | 3.93 k shares | 0.72 | Common equity | Long | USA |
KBR KBR, Inc. | 1.07 mm | 16.48 k shares | 0.72 | Common equity | Long | USA |
AMD Advanced Micro Devices, Inc. | 1.04 mm | 6.33 k shares | 0.70 | Common equity | Long | USA |
WDAY Workday, Inc. | 998.41 k | 4.09 k shares | 0.67 | Common equity | Long | USA |
AZN AstraZeneca PLC | 993.35 k | 12.75 k shares | 0.67 | Common equity | Long | UK |
ISRG Intuitive Surgical, Inc. | 970.26 k | 1.98 k shares | 0.65 | Common equity | Long | USA |
VRT Vertiv Holdings Co | 960.08 k | 9.65 k shares | 0.64 | Common equity | Long | USA |
SYK Stryker Corporation | 912.18 k | 2.53 k shares | 0.61 | Common equity | Long | USA |
CEG Constellation Energy Corporation | 910.07 k | 3.50 k shares | 0.61 | Common equity | Long | USA |
VST Vistra Corp. | 909.79 k | 7.68 k shares | 0.61 | Common equity | Long | USA |
XOM Exxon Mobil Corporation | 908.46 k | 7.75 k shares | 0.61 | Common equity | Long | USA |
UNH UnitedHealth Group Incorporated | 903.33 k | 1.55 k shares | 0.61 | Common equity | Long | USA |
TTD The Trade Desk, Inc. | 891.45 k | 8.13 k shares | 0.60 | Common equity | Long | USA |
WAB Westinghouse Air Brake Technologies Corporation | 886.13 k | 4.88 k shares | 0.59 | Common equity | Long | USA |
NOC Northrop Grumman Corporation | 884.52 k | 1.68 k shares | 0.59 | Common equity | Long | USA |
XYL Xylem Inc. | 870.94 k | 6.45 k shares | 0.58 | Common equity | Long | USA |
LVMH Moet Hennessy Louis Vuitton SE
|
856.38 k | 5.58 k shares | 0.57 | Common equity | Long | France |
SNY Sanofi | 850.04 k | 14.75 k shares | 0.57 | Common equity | Long | France |
PANW Palo Alto Networks, Inc. | 837.41 k | 2.45 k shares | 0.56 | Common equity | Long | USA |
CMG Chipotle Mexican Grill, Inc. | 826.85 k | 14.35 k shares | 0.55 | Common equity | Long | USA |
ASML ASML Holding N.V. | 824.92 k | 990.00 shares | 0.55 | Common equity | Long | Netherlands |
BSX Boston Scientific Corporation | 804.48 k | 9.60 k shares | 0.54 | Common equity | Long | USA |
MRK Merck & Co., Inc. | 803.44 k | 7.08 k shares | 0.54 | Common equity | Long | USA |
GEV GE Vernova Inc. | 803.19 k | 3.15 k shares | 0.54 | Common equity | Long | USA |
VRTX Vertex Pharmaceuticals Incorporated | 802.26 k | 1.73 k shares | 0.54 | Common equity | Long | USA |
IR Ingersoll Rand Inc. | 768.10 k | 7.83 k shares | 0.51 | Common equity | Long | USA |
ADBE Adobe Inc. | 761.14 k | 1.47 k shares | 0.51 | Common equity | Long | USA |
SLB Schlumberger Limited | 722.59 k | 17.23 k shares | 0.48 | Common equity | Long | USA |
MAR Marriott International, Inc. | 714.73 k | 2.88 k shares | 0.48 | Common equity | Long | USA |
TSLA Tesla, Inc. | 712.94 k | 2.73 k shares | 0.48 | Common equity | Long | USA |
COHR Coherent, Inc. | 697.94 k | 7.85 k shares | 0.47 | Common equity | Long | USA |
COP ConocoPhillips | 673.79 k | 6.40 k shares | 0.45 | Common equity | Long | USA |
INTU Intuit Inc. | 658.26 k | 1.06 k shares | 0.44 | Common equity | Long | USA |
HUBS HubSpot, Inc. | 651.21 k | 1.23 k shares | 0.44 | Common equity | Long | USA |
AMAT Applied Materials, Inc. | 616.25 k | 3.05 k shares | 0.41 | Common equity | Long | USA |
HON Honeywell International Inc. | 589.12 k | 2.85 k shares | 0.39 | Common equity | Long | USA |
ICLR ICON Public Limited Company | 560.25 k | 1.95 k shares | 0.38 | Common equity | Long | Ireland |
BMRN BioMarin Pharmaceutical Inc. | 560.21 k | 7.97 k shares | 0.38 | Common equity | Long | USA |
ONON On Holding AG | 546.64 k | 10.90 k shares | 0.37 | Common equity | Long | Switzerland |
ENTG Entegris, Inc. | 540.14 k | 4.80 k shares | 0.36 | Common equity | Long | USA |
NICE NICE Ltd. | 512.33 k | 2.95 k shares | 0.34 | Common equity | Long | Israel |
MCK McKesson Corporation | 383.18 k | 775.00 shares | 0.26 | Common equity | Long | USA |
AON Aon plc | 354.64 k | 1.02 k shares | 0.24 | Common equity | Long | USA |
PSTG Pure Storage, Inc. | 282.60 k | 5.63 k shares | 0.19 | Common equity | Long | USA |