| Fund | Portfolio weight | Shares | Change vs prev. quarter |
|---|---|---|---|
| Polen Capital Management | 0.00% | 2,968 | NEW |
Source: SEC Form 13F filings for the quarter ended Jun 30, 2026. Change labels compare each fund’s 2026 Q2 filing with its previous filing. 13F filings cover long positions only and arrive up to 45 days after quarter-end.
0 insiders bought on the open market in the last 90 days (0 purchases, $0), against 40 sales by 8 insiders ($23.6M).
Source: SEC Form 4 filings, as of Oct 3, 2026. Open-market transactions only.
Data unavailable — no House STOCK Act transactions for this ticker were parsed in the current window (as of Oct 3, 2026).
Financial Screens
· Growth — Revenue up every year for 5 straight years
· Cash Flow (FCF) — Positive free cash flow in each of the last 3 years, with an FCF yield of at least 5%
· Gross Profitability (Novy-Marx) — High gross profit relative to total assets
· Earnings Quality (Cash Conversion) — Profits that actually come back as cash
· Shareholder Yield — Cash returned through dividends and buybacks
Chart Signals
· Monthly Uptrend — Price above its 12-month moving average
· Top Relative Strength — Top 20% of the universe by 6-month return
Red Flags
· Distress Risk (Altman Z″) — Altman Z″-Score below 1.10
Key figures
· Growth — Latest revenue: $2.9B · 5-yr revenue CAGR: 10.8% · Straight growth years: 9
· Cash Flow (FCF) — Latest FCF: $678.0M · FCF yield: 7.5% · Positive FCF years: 3
· Gross Profitability (Novy-Marx) — Gross profit / assets: 73.1% · Gross margin: 71.6%
· Earnings Quality (Cash Conversion) — Cash conversion (3-yr avg): 3.01 · Operating cash flow: $693.4M · Net income: $163.0M
· Shareholder Yield — Shareholder yield: 8.6% · of which dividends: 0.0% · of which buybacks: 8.6%
· Distress Risk (Altman Z″) — Z″-Score: -1.05 · Working capital / assets: 0.21 · Retained earnings / assets: -0.85 · EBIT / assets: 0.09 · Equity / liabilities: -0.28
Financial screens are computed from SEC company financial statements; red-flag models are screens, not verdicts — see Methodology.
| 13F signal (2021 Q3 – 2026 Q1) | Events | Win rate | Avg return | SPY | Excess |
|---|---|---|---|---|---|
| Heavy accumulation — 3+ tracked funds increased together | 1 | 100.0% | +11.7% | +4.9% | +6.8% |
| Share count tripled (3x) | 2 | 50.0% | +5.4% | +7.2% | -1.8% |
Measured from SEC 13F filings: entry at each quarter’s filing deadline (the first day the list was public), exit one quarter later, dividend-adjusted closes. Past records do not guarantee future results — see Track Record and Methodology.
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