Security Name: CCC INTELLIGENT SOLUTIONS HO
Ticker: CCCS
Security Type: EQU
Exchange: US
CUSIP: 12510Q100

Historical Stats

Period Total Value Value Change Total Holders Holder Change
2024-06-30 $6.70B - 302 -
2024-09-30 $6.81B +1.5% 289 -4.3%
2024-12-31 $7.29B +7.0% 269 -6.9%

Current Major Holders for Period: 2024-12-31

Institution Value Shares % of Portfolio
ADVENT INTERNATIONAL, L.P. $1634.5M 139,342K 38.2%
TECA PARTNERS, LP $24.8M 2,111K 15.8%
PAMALICAN ASSET MANAGEMENT LTD $33.8M 2,879K 14.9%
SELLARONDA GLOBAL MANAGEMENT LP $11.7M 1,000K 11.7%
ALFRETON CAPITAL LLP $17.1M 1,459K 6.2%
ADERO PARTNERS, LLC $64.9M 5,530K 4.2%
ROCKBRIDGE CAPITAL MANAGEMENT LLC $5.4M 457K 3.1%
RIVULET CAPITAL, LLC $29.3M 2,500K 3.0%
VAN BERKOM & ASSOCIATES INC. $77.5M 6,607K 2.3%
AVENIR CORP $20.4M 1,736K 2.1%
CRESCENT PARK MANAGEMENT, L.P. $5.1M 434K 2.0%
CONESTOGA CAPITAL ADVISORS, LLC $143.8M 12,261K 1.9%
DRAGONEER INVESTMENT GROUP, LLC $107.9M 9,196K 1.9%
SIXTH STREET PARTNERS MANAGEMENT COMPANY, L.P. $14.1M 1,200K 1.8%
TELEMARK ASSET MANAGEMENT, LLC $17.0M 1,450K 1.7%
PEMBROKE MANAGEMENT, LTD $13.0M 1,104K 1.6%
CANNON GLOBAL INVESTMENT MANAGEMENT, LLC $0.6M 54K 1.4%
EDMOND DE ROTHSCHILD HOLDING S.A. $73.0M 6,219K 1.3%
BRASADA CAPITAL MANAGEMENT, LP $7.0M 633K 1.2%
AKRE CAPITAL MANAGEMENT LLC $125.3M 10,681K 1.1%
ADVANTAGE ALPHA CAPITAL PARTNERS LP $4.3M 367K 1.0%
CRAMER ROSENTHAL MCGLYNN LLC $17.8M 1,518K 1.0%
WASATCH ADVISORS LP $166.1M 14,163K 0.8%
PALISADE CAPITAL MANAGEMENT, LP $30.7M 2,617K 0.8%
TPG GP A, LLC $47.9M 4,087K 0.8%

Similar Securities

Ticker Exchange Security Similarity Score Common Holders Total Holders
VBNK US VERSABANK 0.043 2 47
STVN US STEVANATO GROUP SPA 0.026 3 117
PCOR US PROCORE TECHNOLOGIES INC 0.017 6 348
CLBT US CELLEBRITE DI LTD 0.017 3 178
FA US FIRST ADVANTAGE CORP 0.015 2 133
ZI US ZOOMINFO TECHNOLOGIES INC 0.014 4 295
VERX US VERTEX INC - CLASS A 0.013 3 227
NCNO US NCINO INC 0.012 3 251
NOVT US NOVANTA INC 0.011 3 273
PFSI US PENNYMAC FINANCIAL SERVICES 0.011 2 187
LAUR US LAUREATE EDUCATION INC 0.010 2 198
CON US CONCENTRA GROUP HOLDINGS PAR 0.010 2 208
MIR US MIRION TECHNOLOGIES INC 0.010 2 209
TNET US TRINET GROUP INC 0.009 2 213
GO US GROCERY OUTLET HOLDING CORP 0.009 2 215
SITE US SITEONE LANDSCAPE SUPPLY INC 0.009 3 328
HLMN US HILLMAN SOLUTIONS CORP 0.009 2 227
BOKF US BOK FINANCIAL CORPORATION 0.009 2 228
FSS US FEDERAL SIGNAL CORP 0.009 3 342
AIN US ALBANY INTL CORP-CL A 0.009 2 233
GWRE US GUIDEWIRE SOFTWARE INC 0.009 4 466
VCTR US VICTORY CAPITAL HOLDING - A 0.008 2 242
CBZ US CBIZ INC 0.008 2 246
KAI US KADANT INC 0.008 2 247
ESE US ESCO TECHNOLOGIES INC 0.008 2 249
SmartTypes

Empowering investors with intelligent data analytics and market insights.

Quick Links
Connect With Us