Lamar Smith

TX21Former Member52 filings512 transactions

Total Purchases (max)

$2.2M

Total Sales (max)

$315K

Net Portfolio Value

$1.9M

58 active positions of 175 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1BWXTLYNCH INVESTMENT ACCOUNTS BWX Technologies, Inc.$90K$90K64.8%
2MSFTLYNCH INVESTMENT ACCOUNTS Microsoft Corporation$90K$15K$75K74.0%
3KRLYNCH INVESTMENT ACCOUNTS Kroger Company$90K$15K$75K74.0%
4CPRTLYNCH INVESTMENT ACCOUNTS Copart, Inc.$60K$60K43.2%
5BLLLYNCH INVESTMENT ACCOUNTS ball Corporation$60K$60K43.2%
6PXLYNCH INVESTMENT ACCOUNTS Praxair, Inc.$75K$15K$60K73.2%
7RTNLYNCH INVESTMENT ACCOUNTS Raytheon Company$75K$15K$60K63.2%
8LYNCH INVESTMENT ACCOUNTS alphabet Inc. - Class a (googL)$60K$60K53.2%
9SBUXLYNCH INVESTMENT ACCOUNTS Filing ID #20008856 Starbucks Corporation$90K$30K$60K83.2%
10UNHLYNCH INVESTMENT ACCOUNTS UnitedHealth group Incorporated Common Stock$60K$60K43.2%
11LYNCH INVESTMENT ACCOUNTS dollar general Corporation (dg)$90K$30K$60K83.2%
12LYNCH INVESTMENT ACCOUNTS booz allen Hamilton Holding Corporation (baH)$45K$45K32.4%
13ICELYNCH INVESTMENT ACCOUNTS Filing Id #20010774 Intercontinental Exchange Inc.$60K$15K$45K52.4%
14MIDDLYNCH INVESTMENT ACCOUNTS The Middleby Corporation$45K$45K32.4%
15PSTGLYNCH INVESTMENT ACCOUNTS Pure Storage, Inc. Class a$45K$45K32.4%
16DHRLYNCH INVESTMENT ACCOUNTS danaher Corporation$60K$15K$45K52.4%
17WSTWest Pharmaceutical Services, Inc.$45K$45K32.4%
18ELLYNCH INVESTMENT ACCOUNTS Estee Lauder Companies, Inc.$30K$30K21.6%
19MNSTLYNCH INVESTMENT ACCOUNTS Filing Id #20010972 Monster beverage Corporation$60K$30K$30K61.6%
20PTLAPortola Pharmaceuticals, Inc.$30K$30K21.6%
21SABRLYNCH INVESTMENT ACCOUNTS Sabre Corporation$30K$30K21.6%
22BURLLYNCH INVESTMENT ACCOUNTS burlington Stores, Inc.$30K$30K21.6%
23SHOOLYNCH INVESTMENT ACCOUNTS Steven Madden, Ltd.$45K$15K$30K41.6%
24ULTALYNCH INVESTMENT ACCOUNTS Ulta beauty, Inc.$45K$15K$30K41.6%
25LYNCH INVESTMENT ACCOUNTS dolby Laboratories (dLb)$30K$30K21.6%
26LOPELYNCH INVESTMENT ACCOUNTS grand Canyon Education, Inc.$30K$30K21.6%
27MXLLYNCH INVESTMENT ACCOUNTS MaxLinear, Inc.$30K$30K21.6%
28TFXLYNCH INVESTMENT ACCOUNTS Teleflex Incorporated$30K$30K21.6%
29HGVLYNCH INVESTMENT ACCOUNTS Hilton grand Vacations Inc.$30K$30K21.6%
30agilent Technologies, Inc. (a)$30K$30K21.6%
31SYKLYNCH INVESTMENT ACCOUNTS Stryker Corporation$30K$30K21.6%
32HCSGHealthcare Services group, Inc.$30K$30K21.6%
33affiliated Managers group, Inc. (aMg)$45K$15K$30K41.6%
34LYNCH INVESTMENT ACCOUNTS Rogers Corporation (Rog)$30K$30K21.6%
35CERNLYNCH INVESTMENT ACCOUNTS Cerner Corporation$60K$30K$30K61.6%
36LYNCH INVESTMENT ACCOUNTS borgWarner Inc. (bWa)$45K$15K$30K41.6%
37Coca-Cola Company (Ko)$15K$15K10.8%
38genpact Limited (g)$15K$15K10.8%
39ATVIactivision blizzard, Inc$15K$15K10.8%
40ANETLYNCH INVESTMENT ACCOUNTS arista Networks, Inc.$15K$15K10.8%
41INGNLYNCH INVESTMENT ACCOUNTS Inogen, Inc$15K$15K10.8%
42LXFRLYNCH INVESTMENT ACCOUNTS Luxfer Holdings PLC ordinary Shares$15K$15K10.8%
43CCJLYNCH INVESTMENT ACCOUNTS Cameco Corporation$15K$15K10.8%
44WTWLYNCH INVESTMENT ACCOUNTS Weight Watchers International Inc$15K$15K10.8%
45LYNCH INVESTMENT ACCOUNTS Coca-Cola Company (Ko)$15K$15K10.8%
46CARSCars.com Inc.$15K$15K10.8%
47EWBCLYNCH INVESTMENT ACCOUNTS East West bancorp, Inc.$30K$15K$15K30.8%
48CDXSCodexis, Inc.$15K$15K10.8%
49LGNDLYNCH INVESTMENT ACCOUNTS Ligand Pharmaceuticals Incorporated$15K$15K10.8%
50LYVLYNCH INVESTMENT ACCOUNTS Live Nation Entertainment, Inc.$15K$15K10.8%
51LAURLaureate Education, Inc. - Class a$15K$15K10.8%
52NATILYNCH INVESTMENT ACCOUNTS National Instruments Corporation$15K$15K10.8%
53VEEVLYNCH INVESTMENT ACCOUNTS Veeva Systems Inc. Class a$15K$15K10.8%
54DNBLYNCH INVESTMENT ACCOUNTS Dun & bradstreet Corporation$15K$15K10.8%
55MRKTLYNCH INVESTMENT ACCOUNTS Markit Ltd. - Common Shares$30K$15K$15K30.8%
56TWTowers Watson & Co. - Common Stock Class a$30K$15K$15K40.8%
57WILLIS TOWERS WATSON$15K$15K20.8%
58LYNCH INVESTMENT ACCOUNTS SQUARE INC SHS CL a$15K$15K10.8%
59ZTSZoetis Inc. Class a$45K$45K$06
60CBLKLYNCH INVESTMENT ACCOUNTS Carbon black, Inc.$15K$15K$02
61LINLYNCH INVESTMENT ACCOUNTS Linde plc ordinary Share$01
62SIXLYNCH INVESTMENT ACCOUNTS Six Flags Entertainment Corporation New$30K$30K$04
63alphabet Inc. - Class a (googL)$15K$15K$02
64DPZLYNCH INVESTMENT ACCOUNTS domino's Pizza Inc$15K$15K$02
65allergan plc ordinary Shares (agN)$15K$15K$02
66ECPGLYNCH INVESTMENT ACCOUNTS Encore Capital group Inc$15K$15K$02
67ACXMacxiom Corporation$15K$15K$02
68dun & bradstreet Corporation (dNb)$15K$15K$02
69FASTFastenal Company$30K$30K$04
70BMRNLYNCH INVESTMENT ACCOUNTS bioMarin Pharmaceutical Inc.$15K$15K$02
71KMXCarMax Inc$15K$15K$02
72WPLYNCH INVESTMENT ACCOUNTS Worldpay, Inc. Class a$01
73SHPGLYNCH INVESTMENT ACCOUNTS Shire plc - american Depositary Shares, each representing three ordinary Shares$15K$15K$02
74HLFLYNCH INVESTMENT ACCOUNTS Herbalife Ltd.$15K$15K$02
75JCOMWITHIN 2 YEARS oF THE COMMENCEMENT oF THE TENDER OFFER. MERRILL LYNCH VOTED bY PROXY To ACCEPT THIS TENDER OFFER. 42 SHARES oF HERBALIFE WERE SOLD IN THIS TENDER oF j2 global, Inc.$15K$15K$02
76SBNYSignature bank$15K$15K$02
77adobe Systems Incorporated (adbE)$30K$30K$04
78SFMLYNCH INVESTMENT ACCOUNTS Sprouts Farmers Market, Inc.$15K$15K$02
79MDLYNCH INVESTMENT ACCOUNTS Mednax, Inc.$15K$15K$02
80TSNLYNCH INVESTMENT ACCOUNTS Tyson Foods, Inc.$15K$15K$02
81BIIBLYNCH INVESTMENT ACCOUNTS biogen Inc.$15K$15K$02
82HBIHanesbrands Inc.$15K$15K$02
83LYNCH INVESTMENT ACCOUNTS Mednax, Inc. (Md)$15K$15K$02
84FTVLYNCH INVESTMENT ACCOUNTS Fortive Corporation$15K$15K$02
85COLLYNCH INVESTMENT ACCOUNTS Rockwell Collins, Inc.$30K$30K$04
86PLYNCH INVESTMENT ACCOUNTS Filing Id #20004888 Pandora Media, Inc.$15K$15K$02
87AMELYNCH INVESTMENT ACCOUNTS AMETEK, Inc.$15K$15K$02
88WDAYWorkday, Inc.$15K$15K$02
89NOWServiceNow, Inc.$15K$15K$02
90GMCRLYNCH INVESTMENT ACCOUNTS Keurig green Mountain, Inc.$15K$15K$02
91PRGOLYNCH INVESTMENT ACCOUNTS Perrigo Company plc ordinary Shares$45K$45K$06
92EFFECTIVE 10/2/2015. SHARES oF googLE INC. - CLASS a WERE aUToMaTICaLLY CONVERTED To SHARES oF aLPHabET INC. - CLASS a aNd CONTINUE To TRADE oN NaSdaQ aS googL. alphabet Inc. - Class C Capital Stock (goog)$01
93ARMHLYNCH INVESTMENT ACCOUNTS ARM Holdings plc - american depositary Shares each representing 3 ordinary Shares$30K$30K$04
94LYNCH INVESTMENT ACCOUNTS google Inc. - Class C Capital Stock (goog)$01
95EFFECTIVE 10/2/2015. SHARES oF googLE INC. - CLASS C CAPITAL STOCK WERE aUToMaTICaLLY CONVERTED To SHARES oF aLPHabET INC. - CLASS C CAPITAL STOCK aNd WILL CONTINUE To TRADE oN NaSdaQ aS goog. google Inc.- Class a (googL)$01
96PXDLYNCH INVESTMENT ACCOUNTS Pioneer Natural Resources Company$15K$15K$02
97WAGELYNCH INVESTMENT ACCOUNTS WageWorks, Inc.$15K$15K$02
98LYNCH INVESTMENT ACCOUNTS Facebook, Inc. - Class a (Fb)$30K$45K-$15K5
99PGRLYNCH INVESTMENT ACCOUNTS Progressive Corporation$60K$75K-$15K9
100ULTILYNCH INVESTMENT ACCOUNTS The Ultimate Software group, Inc.$30K$45K-$15K5
101LYNCH INVESTMENT ACCOUNTS Westinghouse air brake Technologies Corporation (Wab)$30K$45K-$15K5
102CRLLYNCH INVESTMENT ACCOUNTS Charles River Laboratories International, Inc.$15K$30K-$15K3
103MTNLYNCH INVESTMENT ACCOUNTS Vail Resorts, Inc.$15K$30K-$15K3
104AKAMakamai Technologies, Inc.$90K$105K-$15K13
105LYNCH INVESTMENT ACCOUNTS Filing Id #20010037 Mastercard Incorporated (Ma)$15K-$15K1
106CSGPLYNCH INVESTMENT ACCOUNTS CoStar group, Inc.$15K$30K-$15K3
107MIKLYNCH INVESTMENT ACCOUNTS The Michaels Companies, Inc.$15K$30K-$15K3
108YELPYelp Inc.$15K$30K-$15K3
109UNPLYNCH INVESTMENT ACCOUNTS Union Pacific Corporation$45K$60K-$15K7
110CSRALYNCH INVESTMENT ACCOUNTS Filing Id #20009072 CSRA Inc.$15K$30K-$15K3
111FBLYNCH INVESTMENT ACCOUNTS Facebook, Inc. - Class a$15K-$15K1
112NWLLYNCH INVESTMENT ACCOUNTS Newell Brands Inc.$15K$30K-$15K3
113VNTVLYNCH INVESTMENT ACCOUNTS Vantiv, Inc. Class a$15K$30K-$15K4
114EWLYNCH INVESTMENT ACCOUNTS Edwards Lifesciences Corporation$15K$30K-$15K3
115SLBLYNCH INVESTMENT ACCOUNTS Schlumberger N.V.$15K-$15K1
116LYNCH INVESTMENT ACCOUNTS adobe Systems Incorporated (adbE)$15K-$15K1
117LYNCH INVESTMENT ACCOUNTS dun & bradstreet Corporation (dNb)$15K-$15K1
118PPGLYNCH INVESTMENT ACCOUNTS PPG Industries, Inc.$30K$45K-$15K5
119dollar general Corporation (dg)$15K-$15K1
120MJNLYNCH INVESTMENT ACCOUNTS Mead Johnson Nutrition Company$45K$60K-$15K7
121VFCLYNCH INVESTMENT ACCOUNTS V.F. Corporation$15K$30K-$15K3
122NSRLYNCH INVESTMENT ACCOUNTS Neustar, Inc. Neustar, Inc. Class a$15K-$15K1
123LYNCH INVESTMENT ACCOUNTS Dollar general Corporation (Dg)$15K-$15K1
124LYNCH INVESTMENT ACCOUNTS affiliated Managers group, Inc. (aMg)$15K-$15K1
125MCOMoody's Corporation$30K$45K-$15K5
126Perrigo Company plc ordinary Shares$15K-$15K1
127SULYNCH INVESTMENT ACCOUNTS Suncor Energy Inc.$15K-$15K1
128MDVNLYNCH INVESTMENT ACCOUNTS Medivation, Inc.$15K-$15K1
129RPXCLYNCH INVESTMENT ACCOUNTS RPX Corporation$15K-$15K1
130SLHLYNCH INVESTMENT ACCOUNTS Solera Holdings, Inc. Solera Holdings, Inc.$15K$30K-$15K3
131CLLYNCH INVESTMENT ACCOUNTS Colgate-Palmolive Company$15K-$15K1
132SPNCLYNCH INVESTMENT ACCOUNTS The Spectranetics Corporation$15K-$15K1
133VRNTLYNCH INVESTMENT ACCOUNTS Verint Systems Inc.$15K$30K-$15K3
134analogic Corporation (aLog)$15K-$15K1
135HMSYLYNCH INVESTMENT ACCOUNTS HMS Holdings Corp$15K-$15K1
136IDXXLYNCH INVESTMENT ACCOUNTS IDEXX Laboratories, Inc.$15K-$15K1
137CTRXLYNCH INVESTMENT ACCOUNTS Catamaran Corporation$15K-$15K1
138IPGPLYNCH INVESTMENT ACCOUNTS IPG Photonics Corporation$15K-$15K1
139NXTMLYNCH INVESTMENT ACCOUNTS NxStage Medical, Inc.$15K-$15K1
140YUMLYNCH INVESTMENT ACCOUNTS Yum! brands, Inc.$15K-$15K1
141LLLYNCH INVESTMENT ACCOUNTS Lumber Liquidators Holdings, Inc$15K-$15K1
142NBLLYNCH INVESTMENT ACCOUNTS Noble Energy Inc.$15K-$15K1
143LYNCH INVESTMENT ACCOUNTS Harley-davidson, Inc. (Hog)$15K-$15K1
144FOSLLYNCH INVESTMENT ACCOUNTS Fossil group, Inc.$15K-$15K1
145JECLYNCH INVESTMENT ACCOUNTS Jacobs Engineering group Inc.$15K-$15K1
146TCBILYNCH INVESTMENT ACCOUNTS Texas Capital bancshares, Inc.$15K-$15K1
147airgas, Inc. (aRg)$15K-$15K1
148ECLLYNCH INVESTMENT ACCOUNTS Ecolab Inc.$15K-$15K1
149FBHSLYNCH INVESTMENT ACCOUNTS Fortune brands Home & Security, Inc.$15K-$15K1
150TMHLYNCH INVESTMENT ACCOUNTS Team Health Holdings, Inc. Team Health Holdings, Inc.$15K-$15K1
151COSTLYNCH INVESTMENT ACCOUNTS Costco Wholesale Corporation$45K$75K-$30K8
152VRSKVerisk analytics, Inc.$45K$75K-$30K8
153AMZNamazon.com, Inc.$45K$75K-$30K8
154GWRELYNCH INVESTMENT ACCOUNTS guidewire Software, Inc.$30K-$30K2
155BMYLYNCH INVESTMENT ACCOUNTS bristol-Myers Squibb Company$45K$75K-$30K8
156TXNLYNCH INVESTMENT ACCOUNTS Texas Instruments Incorporated$15K$45K-$30K4
157WLTWLYNCH INVESTMENT ACCOUNTS Willis Towers Watson Public Limited Company - ordinary Shares$30K-$30K2
158LYNCH INVESTMENT ACCOUNTS Transdigm group Incorporated Transdigm group Inc. (Tdg)$15K$45K-$30K4
159WSMGROUP HOLDINGS AND TOWERS WATSON. 50 SHARES oF TOWERS WATSON & Co CLASS a STOCK WERE EXCHANGED FOR 50 SHARES oF WILLIS TOWERS WATSON, PLC (NASDAQ:WLTW)STOCK. Williams-Sonoma, Inc. Common Stock$30K-$30K2
160LPLALYNCH INVESTMENT ACCOUNTS LPL Financial Holdings Inc.$30K-$30K2
161PCPLYNCH INVESTMENT ACCOUNTS Precision Castparts Corporation$15K$45K-$30K4
162QCOMLYNCH INVESTMENT ACCOUNTS QUALCOMM Incorporated$30K-$30K2
163TRSLYNCH INVESTMENT ACCOUNTS TriMas Corporation$30K-$30K2
164ALGNLYNCH INVESTMENT ACCOUNTS align Technology, Inc.$15K$60K-$45K5
165LYNCH INVESTMENT ACCOUNTS Mastercard Incorporated (Ma)$15K$60K-$45K5
166SBHSally beauty Holdings, Inc.$45K-$45K3
167TRMB2000007739 Trimble Navigation Limited$45K-$45K3
168PCLNThe Priceline group Inc.$45K-$45K3
169SRCLLYNCH INVESTMENT ACCOUNTS Stericycle, Inc.$45K-$45K3
170GILDLYNCH INVESTMENT ACCOUNTS gilead Sciences, Inc.$15K$75K-$60K6
171CTSHLYNCH INVESTMENT ACCOUNTS Cognizant Technology Solutions Corporation - Class a$15K$75K-$60K6
172LYNCH INVESTMENT ACCOUNTS alphabet Inc. - Class C Capital Stock (goog)$15K$90K-$75K7
173RHTLYNCH INVESTMENT ACCOUNTS Red Hat, Inc.$45K$120K-$75K11
174EFXLYNCH INVESTMENT ACCOUNTS Equifax, Inc.$75K-$75K5
175LOWLYNCH INVESTMENT ACCOUNTS Lowe's Companies, Inc.$90K-$90K6