FRONTIER CAPITAL MANAGEMENT CO LLC

Adviser information for FRONTIER CAPITAL MANAGEMENT CO LLC last updated from Form ADV on March 28th, 2024. Select data displayed; additional Form ADV, Form D, Form 13F and other data is available from the Fincoded API.

Advisory Business

Type of Organization Limited Liability Company
Fiscal Year End DECEMBER
Legal Location Delaware, United States

Employees

Total Number of Employees 41
Investment Advisory/Research 20
Registered Broker-Dealer Representatives 0
Registered State Investment Advisers 0
Licensed Agents of an Insurance Company 0
No. of Firms/People that Solicit Clients 4

RAUM

Provides Management of Securities Portfolios Yes
Type Accounts RAUM
Discretionary 59 $10.1B
Non-Discretionary 0 $0
Total 59 $10.1B

Clients

Type Number RAUM
Individuals 0 $0
HNW Individuals 0 $0
Banking or thrift institutions 0 $0
Investment companies 5 $4.8B
Business development companies 0 $0
Pooled investment vehicles 5 $534.2M
Pension and profit sharing plans 8 $652.6M
Charitable organizations 6 $168.5M
State or municipal gov entities 13 $3.3B
Other investment advisers <5 $64.9M
Insurance companies 0 $0
Sovereign wealth funds and foreign official institutions <5 $226.8M
Corporations or other businesses 5 $340.4M
Other 0 $0
Type Number
No. of Non-RAUM Clients 2
No. of Non-U.S. Clients 2

Services

Advisory Services Portfolio management for individuals and/or small businessesPortfolio management for investment companiesPortfolio management for pooled investment vehiclesPortfolio management for businesses or institutional clients
Compensation % of AUMPerformance-based fees

Identifiers

SEC RIA File Number 801-15724
SEC ERA File Number 801-15724
SEC CIK Numbers 351173, 733581, 1216488
SEC CRD Numbers 106274
Legal Entity Identifier 254900NEJR5DKEQV6J66

Principal Office

99 SUMMER STREET
BOSTON
MA
United States
Monday - Friday, 9:00 AM - 5:00 PM
Tel: (617) 261-0777, Fax: (617) 261-0684

Chief Compliance Officer

ROBERT E. PHAY, JR.
GENERAL COUNSEL
99 SUMMER STREET
BOSTON
MA
United States
Tel: (617) 261-0777
Fax: (617) 261-0684
(Full email address available in API data)

Regulatory Contact

SARAH J. NEILY
PORTFOLIO, CLIENT SERVICE AND COMPLIANCE ASSOCIATE
99 SUMMER STREET
BOSTON
MA
United States
Tel: (617) 261-0777
Fax: (617) 261-0684
(Full email address available in API data)

Industry Affiliates

AMG FUNDS LLC Other investment adviser, including financial plannersCommodity pool operator or commodity trading advisorSponsor, GP, manager of pooled investment vehicles

Private Funds

Name Type Assets $USD Min Investment $USD No. Owners
FRONTIER CAPITAL APPRECIATION FUND, LP LONG ONLY PUBLIC EQUITY $113.8M $1.0M 18
FRONTIER FOCUS FUND, LP LONG ONLY PUBLIC EQUITY $16.5M $1.0M 21
FRONTIER MID CAP GROWTH FUND, LP LONG ONLY PUBLIC EQUITY $108.2M $1.0M 24
FRONTIER SMALL CAP GROWTH FUND, LP LONG ONLY PUBLIC EQUITY $123.9M $1.0M 20
FRONTIER SMALL CAP VALUE FUND, LP LONG ONLY PUBLIC EQUITY $171.7M $1.0M 33

Control Persons

Name Type Entity Title Since Ownership
AFFILIATED MANAGERS GROUP, INC. Domestic Entity AMG FCMC HOLDINGS, LLC MANAGER MEMBER 06/2014 > 75%
FCMC HOLDINGS LLC Domestic Entity MANAGER MEMBER 01/2000 > 75%
JANKOWSKI, SARAH, JEAN Individual CHIEF OPERATING OFFICER/MANAGING PARTNER 06/1996 < 5%
AMG FCMC HOLDINGS, LLC Domestic Entity FCMC HOLDINGS LLC MANAGING MEMBER 06/2014 > 75%
BERGGREN, JILLIAN, PATRICIA Individual CONTROLLER 03/2019 < 5%
PHAY, ROBERT, E Individual CHIEF COMPLIANCE OFFICER AND GENERAL COUNSEL 08/2019 < 5%
TEICHNER, WILLIAM, ALLEN Individual MANAGING PARTNER 09/1992 < 5%

No. Employees, Historic

50250201920202021202220232024202540 on 4/17/201940 on 8/8/201939 on 3/30/202039 on 6/30/202038 on 3/31/202140 on 3/30/202240 on 3/31/202341 on 3/28/2024

RAUM, Historic

20B10B0201920202021202220232024202512626625598 on 4/17/201912626625598 on 8/8/201913754824362 on 3/30/202011186198951 on 6/30/202013740833269 on 3/31/202112795761824 on 3/30/20229292365423 on 3/31/202310103003811 on 3/28/2024

No. Clients, Historic

80400201920202021202220232024202573 on 4/17/201973 on 8/8/201962 on 3/30/202056 on 6/30/202051 on 3/31/202146 on 3/30/202245 on 3/31/202342 on 3/28/2024

Holdings

From latest 13F, filed August 14th, 2024 for period ending June 30th, 2024
Name Class Value $USD # Shares Private Fund
ACADIA HEALTHCARE COMPANY IN COM 10M 144K
ACV AUCTIONS INC COM CL A 21M 1M
ADTALEM GLOBAL ED INC COM 54M 798K
AECOM COM 8M 89K
AGILENT TECHNOLOGIES INC COM 62M 477K
AGREE RLTY CORP COM 44M 707K
ALASKA AIR GROUP INC COM 59M 1M
ALBEMARLE CORP COM 9M 92K
ALCOA CORP COM 11M 272K
ALCON AG ORD SHS 54M 602K
ALEXANDRIA REAL ESTATE EQ IN COM 5M 47K
ALIGN TECHNOLOGY INC COM 30M 124K
ALNYLAM PHARMACEUTICALS INC COM 41M 168K
AMPHASTAR PHARMACEUTICALS IN COM 5M 125K
AMPHENOL CORP NEW CL A 41M 611K
AON PLC SHS CL A 35M 120K
APELLIS PHARMACEUTICALS INC COM 3M 78K
APOLLO GLOBAL MGMT INC COM 129M 1M
APPLIED INDL TECHNOLOGIES IN COM 22M 112K
ARISTA NETWORKS INC COM 75M 215K
ARRAY TECHNOLOGIES INC COM SHS 28M 3M
ARROW ELECTRS INC COM 34M 281K
ASBURY AUTOMOTIVE GROUP INC COM 40M 175K
ASPEN AEROGELS INC COM 42M 2M
ATI INC COM 174M 3M
AVANTOR INC COM 41M 2M
AXSOME THERAPEUTICS INC COM 8M 96K
AZEK CO INC CL A 7M 163K
AZUL S A SPONSR ADR PFD 32M 8M
BANCORP INC DEL COM 32M 848K
BANKUNITED INC COM 12M 412K
BEACON ROOFING SUPPLY INC COM 193M 2M
BELDEN INC COM 42M 451K
BERKLEY W R CORP COM 8M 105K
BILL HOLDINGS INC COM 17M 329K
BIOMARIN PHARMACEUTICAL INC COM 32M 386K
BLOCK INC CL A 44M 685K
BLOOM ENERGY CORP COM CL A 1M 120K
BLUEPRINT MEDICINES CORP COM 20M 186K
BORGWARNER INC COM 50M 2M
BOYD GAMING CORP COM 24M 429K
BRIDGEBIO PHARMA INC COM 4M 148K
BRIGHT HORIZONS FAM SOL IN D COM 60M 543K
BUILDERS FIRSTSOURCE INC COM 95M 690K
BURLINGTON STORES INC COM 77M 320K
BWX TECHNOLOGIES INC COM 46M 485K
CAESARS ENTERTAINMENT INC NE COM 90M 2M
CAMECO CORP COM 6M 129K
CARLYLE GROUP INC COM 78M 2M
CARPENTER TECHNOLOGY CORP COM 88M 806K
CATALENT INC COM 604K 11K
CAVA GROUP INC COM 452K 5K
CHARLES RIV LABS INTL INC COM 15M 74K
CHEESECAKE FACTORY INC COM 37M 929K
CHIPOTLE MEXICAN GRILL INC COM 61M 977K
CHORD ENERGY CORPORATION COM NEW 7M 44K
CINTAS CORP COM 35M 50K
CITIZENS FINL GROUP INC COM 12M 326K
CLOUDFLARE INC CL A COM 3M 35K
COGENT COMMUNICATIONS HLDGS COM NEW 10M 173K
COGNEX CORP COM 17M 369K
COGNIZANT TECHNOLOGY SOLUTIO CL A 56M 824K
COHERENT CORP COM 96M 1M
COHU INC COM 18M 555K
CONTROLADORA VUELA COMP DE A SPON ADR RP 10 14M 2M
COOPER COS INC COM 22M 251K
COPT DEFENSE PROPERTIES SHS BEN INT 33M 1M
COREBRIDGE FINL INC COM 311K 11K
COSTAR GROUP INC COM 58M 779K
COTERRA ENERGY INC COM 38M 1M
COUCHBASE INC COM 18M 983K
CREDO TECHNOLOGY GROUP HOLDI ORDINARY SHARES 56M 2M
CRISPR THERAPEUTICS AG NAMEN AKT 3M 53K
CROWDSTRIKE HLDGS INC CL A 101M 264K
CURTISS WRIGHT CORP COM 6M 22K
DANA INC COM 6M 484K
DARLING INGREDIENTS INC COM 55M 2M
DATADOG INC CL A COM 38M 292K
DEVON ENERGY CORP NEW COM 8M 177K
DEXCOM INC COM 84M 743K
DIGITALBRIDGE GROUP INC CL A NEW 46M 3M
DIODES INC COM 34M 472K
DOCUSIGN INC COM 6M 120K
DOLLAR GEN CORP NEW COM 55M 414K
DOMINOS PIZZA INC COM 60M 116K
DRAFTKINGS INC NEW COM CL A 44M 1M
EAGLE MATLS INC COM 142M 651K
ELANCO ANIMAL HEALTH INC COM 34M 2M
ELASTIC N V ORD SHS 22M 194K
ENERSYS COM 36M 348K
ENSTAR GROUP LIMITED SHS 28M 91K
ENVESTNET INC COM 6M 100K
ENVISTA HOLDINGS CORPORATION COM 20M 1M
EPAM SYS INC COM 65M 344K
EQUIFAX INC COM 55M 227K
ERO COPPER CORP COM 24M 1M
EURONET WORLDWIDE INC COM 5M 48K
EVERCORE INC CLASS A 31M 151K
EVEREST GROUP LTD COM 20M 52K
EXACT SCIENCES CORP COM 30M 705K
FABRINET SHS 9M 36K
FAIR ISAAC CORP COM 87M 59K
FIRST BANCORP P R COM NEW 56M 3M
FIRST INDL RLTY TR INC COM 64M 1M
FIVE BELOW INC COM 5M 44K
FLEX LTD ORD 17M 584K
FMC CORP COM NEW 26M 448K
FORTINET INC COM 35M 582K
FTAI AVIATION LTD SHS 291M 3M
GARTNER INC COM 23M 52K
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK 14M 182K
GLOBAL PMTS INC COM 43M 443K
GMS INC COM 27M 329K
GRANITE CONSTR INC COM 118M 2M
GRAPHIC PACKAGING HLDG CO COM 25M 958K
GREENBRIER COS INC COM 36M 717K
GRID DYNAMICS HLDGS INC CL A 9M 882K
GUIDEWIRE SOFTWARE INC COM 76M 550K
HALOZYME THERAPEUTICS INC COM 44M 846K
HECLA MNG CO COM 32M 7M
HELIOS TECHNOLOGIES INC COM 10M 211K
HEXCEL CORP NEW COM 4M 68K
HOLOGIC INC COM 56M 754K
HOPE BANCORP INC COM 18M 2M
HUBBELL INC COM 5M 15K
HUBSPOT INC COM 61M 103K
HUMANA INC COM 44M 119K
HUNT J B TRANS SVCS INC COM 27M 168K
IDEXX LABS INC COM 70M 144K
INCYTE CORP COM 4M 67K
INDEPENDENCE RLTY TR INC COM 65M 3M
INDIE SEMICONDUCTOR INC CLASS A COM 44M 7M
INSIGHT ENTERPRISES INC COM 41M 208K
INSMED INC COM PAR $.01 52M 774K
INSPIRE MED SYS INC COM 67M 499K
INSULET CORP COM 22M 108K
INTEGRAL AD SCIENCE HLDNG CO COM 10M 1M
INTERFACE INC COM 33M 2M
INTERNATIONAL SEAWAYS INC COM 45M 768K
JABIL INC COM 45M 415K
JAZZ PHARMACEUTICALS PLC SHS USD 3M 24K
KBR INC COM 116M 2M
KIRBY CORP COM 14M 118K
KKR & CO INC COM 90M 855K
KLA CORP COM NEW 38M 46K
KNIFE RIVER CORP COMMON STOCK 23M 327K
KNIGHT-SWIFT TRANSN HLDGS IN CL A 56M 1M
KONTOOR BRANDS INC COM 30M 457K
KRATOS DEFENSE & SEC SOLUTIO COM NEW 17M 853K
L3HARRIS TECHNOLOGIES INC COM 69M 308K
LABCORP HOLDINGS INC COM SHS 259K 1K
LANTHEUS HLDGS INC COM 8M 100K
LATTICE SEMICONDUCTOR CORP COM 24M 407K
LCI INDS COM 31M 299K
LESLIES INC COM 3M 772K
LGI HOMES INC COM 48M 536K
LITHIA MTRS INC COM 51M 204K
LKQ CORP COM 259K 6K
LXP INDUSTRIAL TRUST COM 38M 4M
MACOM TECH SOLUTIONS HLDGS I COM 27M 245K
MAGNITE INC COM 9M 653K
MARKEL GROUP INC COM 9M 6K
MARVELL TECHNOLOGY INC COM 49M 695K
MASTEC INC COM 38M 351K
MATADOR RES CO COM 39M 656K
MATCH GROUP INC NEW COM 19M 627K
MATTEL INC COM 130M 8M
MAXLINEAR INC COM 53M 3M
MDU RES GROUP INC COM 54M 2M
MERIT MED SYS INC COM 20M 238K
MERITAGE HOMES CORP COM 28M 172K
METTLER TOLEDO INTERNATIONAL COM 48M 35K
MKS INSTRS INC COM 57M 436K
MOBILEYE GLOBAL INC COMMON CLASS A 61M 2M
MODINE MFG CO COM 43M 430K
MONGODB INC CL A 68M 273K
MONOLITHIC PWR SYS INC COM 105M 127K
MP MATERIALS CORP COM CL A 7M 525K
MRC GLOBAL INC COM 75M 6M
MSCI INC COM 40M 83K
NASDAQ INC COM 17M 279K
NATERA INC COM 118M 1M
NCR VOYIX CORPORATION COM 156K 13K
NETSTREIT CORP COM 27M 2M
NEXTRACKER INC CLASS A COM 7M 150K
NISOURCE INC COM 390K 14K
NMI HLDGS INC COM 52M 2M
NOVOCURE LTD ORD SHS 18M 1M
OKTA INC CL A 11M 119K
ON HLDG AG NAMEN AKT A 20M 520K
OPENLANE INC COM 10M 616K
PACIRA BIOSCIENCES INC COM 53M 2M
PACTIV EVERGREEN INC COM 34M 3M
PALANTIR TECHNOLOGIES INC CL A 68M 3M
PALO ALTO NETWORKS INC COM 25M 74K
PAYCOM SOFTWARE INC COM 7M 51K
PAYMENTUS HOLDINGS INC COM CL A 7M 380K
PERDOCEO ED CORP COM 35M 2M
PERMIAN RESOURCES CORP CLASS A COM 85M 5M
PINNACLE FINL PARTNERS INC COM 38M 470K
PINTEREST INC CL A 51M 1M
PJT PARTNERS INC COM CL A 21M 195K
PLANET FITNESS INC CL A 19M 261K
PLANET LABS PBC COM CL A 2M 1M
POPULAR INC COM NEW 55M 624K
PORTLAND GEN ELEC CO COM NEW 18M 419K
PURE STORAGE INC CL A 72M 1M
QIAGEN NV SHS NEW 5M 117K
QORVO INC COM 43M 373K
QUANTA SVCS INC COM 65M 256K
QUANTERIX CORP COM 620K 47K
REGAL REXNORD CORPORATION COM 27M 200K
RENASANT CORP COM 25M 806K
RESMED INC COM 29M 151K
REXFORD INDL RLTY INC COM 5M 120K
RIOT PLATFORMS INC COM 5M 551K
ROGERS CORP COM 9M 78K
ROSS STORES INC COM 60M 415K
RXO INC COMMON STOCK 64M 2M
SANMINA CORPORATION COM 62M 943K
SAREPTA THERAPEUTICS INC COM 7M 41K
SCORPIO TANKERS INC SHS 8M 98K
SENSATA TECHNOLOGIES HLDG PL SHS 8M 203K
SHOALS TECHNOLOGIES GROUP IN CL A 10M 2M
SIGMA LITHIUM CORPORATION COM 22M 2M
SILGAN HLDGS INC COM 36M 855K
SITE CTRS CORP COM 43M 3M
SITIME CORP COM 10M 82K
SM ENERGY CO COM 52M 1M
SMART GLOBAL HLDGS INC SHS 4M 192K
STAG INDL INC COM 39M 1M
STANLEY BLACK & DECKER INC COM 27M 344K
STERIS PLC SHS USD 56M 255K
STONERIDGE INC COM 35M 2M
STRATASYS LTD SHS 9M 1M
SUMMIT MATLS INC CL A 107M 3M
SUPER MICRO COMPUTER INC COM 204K 249
SYMBOTIC INC CLASS A COM 16M 457K
TANDEM DIABETES CARE INC COM NEW 7M 182K
TD SYNNEX CORPORATION COM 35M 302K
TECNOGLASS INC ORD SHS 19M 371K
TELEFLEX INCORPORATED COM 17M 79K
TEMPUS AI INC CL A 15M 432K
THE TRADE DESK INC COM CL A 81M 831K
TIDEWATER INC NEW COM 60M 631K
TIMKEN CO COM 37M 466K
TOAST INC CL A 370K 14K
TPG INC COM CL A 6M 135K
TRACTOR SUPPLY CO COM 7M 25K
TRANSUNION COM 41M 550K
TREX CO INC COM 18M 238K
TWILIO INC CL A 15M 270K
TYLER TECHNOLOGIES INC COM 6M 12K
UIPATH INC CL A 5M 370K
ULTRA CLEAN HLDGS INC COM 147M 3M
UNDER ARMOUR INC CL C 364K 56K
UNDER ARMOUR INC CL A 12M 2M
UNITED THERAPEUTICS CORP DEL COM 12M 38K
UNITIL CORP COM 14M 270K
UNIVERSAL DISPLAY CORP COM 15M 71K
UNIVERSAL HLTH SVCS INC CL B 207K 1K
VAREX IMAGING CORP COM 26M 2M
VEEVA SYS INC CL A COM 70M 385K
VERICEL CORP COM 21M 464K
VERTIV HOLDINGS CO COM CL A 14M 160K
VIKING THERAPEUTICS INC COM 24M 450K
WAFD INC COM 26M 922K
WASTE CONNECTIONS INC COM 36M 204K
WEATHERFORD INTL PLC ORD SHS 49M 403K
WEBSTER FINL CORP COM 28M 643K
WESCO INTL INC COM 18M 112K
WESTERN DIGITAL CORP. COM 23M 306K
WINTRUST FINL CORP COM 52M 530K
WOLFSPEED INC COM 13M 569K
WORKIVA INC COM CL A 4M 59K
WSFS FINL CORP COM 25M 523K
XPO INC COM 109M 1M
ZOOMINFO TECHNOLOGIES INC COMMON STOCK 15M 1M
ZSCALER INC COM 3M 15K