ARROWSTREET CAPITAL, LIMITED PARTNERSHIP Q2 2016 Filing
Filed August 15, 2016
Portfolio Value
$30.3M
Holdings
1,309
Report Date
Q2 2016
Filing Type
13F-HR
All Holdings (1,309 positions)
| Stock | Value |
|---|---|
—PROLOGIS INC | $17.4M |
—EXPRESS INC | $17.3M |
—ENERGIZER HLDGS INC NEW | $17.2M |
—LINEAR TECHNOLOGY CORP | $17.1M |
—NATIONAL BEVERAGE CORP | $16.8M |
—NOBLE CORP PLC | $16.8M |
—NETGEAR INC | $16.7M |
—MOOG INC | $16.5M |
—UNIVERSAL CORP VA | $16.5M |
—LIFEPOINT HEALTH INC | $16.4M |
—VOYA FINL INC | $16.4M |
—ALIGN TECHNOLOGY INC | $16.4M |
—MANHATTAN ASSOCS INC | $16.4M |
—ORANGE | $16.4M |
—COOPER STD HLDGS INC | $16.2M |
—COCA COLA EUROPEAN PARTNERS | $16.2M |
—SEADRILL LIMITED | $16.0M |
—MASIMO CORP | $15.8M |
—PIONEER NAT RES CO | $15.7M |
—SHAW COMMUNICATIONS INC | $15.7M |
—CME GROUP INC | $15.7M |
—CHEMTURA CORP | $15.7M |
—MDU RES GROUP INC | $15.6M |
—FORTINET INC | $15.5M |
—REGAL ENTMT GROUP | $15.5M |
—FOUR CORNERS PPTY TR INC | $15.5M |
—VECTREN CORP | $15.5M |
—NORDIC AMERICAN TANKERS LIMI | $15.4M |
—CHURCH & DWIGHT INC | $15.3M |
—HAWAIIAN ELEC INDUSTRIES | $15.3M |
—SILICON MOTION TECHNOLOGY CO | $15.1M |
—SINA CORP | $15.1M |
—EMERGENT BIOSOLUTIONS INC | $15.0M |
—MEAD JOHNSON NUTRITION CO | $15.0M |
—AQUA AMERICA INC | $14.9M |
—CREDICORP LTD | $14.9M |
—COMPANHIA ENERGETICA DE MINA | $14.8M |
—SCANA CORP NEW | $14.8M |
—MANITOWOC FOODSERVICE INC | $14.8M |
—ITRON INC | $14.7M |
—OMEGA HEALTHCARE INVS INC | $14.7M |
—SIBANYE GOLD LTD | $14.7M |
—KEYCORP NEW | $14.7M |
—SIX FLAGS ENTMT CORP NEW | $14.6M |
—BOSTON SCIENTIFIC CORP | $14.6M |
—URBAN OUTFITTERS INC | $14.5M |
—NUANCE COMMUNICATIONS INC | $14.4M |
—STATE STR CORP | $14.4M |
—WEBMD HEALTH CORP | $14.4M |
—EASTMAN CHEM CO | $14.4M |
—AMERICAN WOODMARK CORP | $14.3M |
—DEAN FOODS CO NEW | $14.0M |
—BRISTOL MYERS SQUIBB CO | $14.0M |
—UNITED RENTALS INC | $13.9M |
—DELHAIZE GROUP | $13.9M |
—ORBITAL ATK INC | $13.8M |
—SNYDERS-LANCE INC | $13.8M |
—FIRST MAJESTIC SILVER CORP | $13.7M |
—PAMPA ENERGIA S A | $13.7M |
—ASPEN INSURANCE HOLDINGS LTD | $13.6M |
—AXIS CAPITAL HOLDINGS LTD | $13.5M |
—CYRUSONE INC | $13.4M |
—GODADDY INC | $13.4M |
—BEST BUY INC | $13.4M |
—AUTODESK INC | $13.4M |
—MENTOR GRAPHICS CORP | $13.2M |
—GRAPHIC PACKAGING HLDG CO | $13.2M |
—ABERCROMBIE & FITCH CO | $13.1M |
—PRESS GANEY HLDGS INC | $13.0M |
—EXLSERVICE HOLDINGS INC | $12.7M |
—PROGRESSIVE CORP OHIO | $12.7M |
—TERADYNE INC | $12.7M |
—AVISTA CORP | $12.7M |
—ISHARES TR | $12.6M |
—MAGELLAN HEALTH INC | $12.5M |
—VANTIV INC | $12.4M |
—UNITED CONTL HLDGS INC | $12.4M |
—LAMAR ADVERTISING CO NEW | $12.4M |
—VMWARE INC | $12.3M |
—CONVERGYS CORP | $12.2M |
—REALPAGE INC | $12.1M |
—WPX ENERGY INC | $12.0M |
—MGE ENERGY INC | $12.0M |
—WNS HOLDINGS LTD | $12.0M |
—SILICON LABORATORIES INC | $12.0M |
—GAMING & LEISURE PPTYS INC | $11.9M |
—INTEGRATED DEVICE TECHNOLOGY | $11.9M |
—ACCENTURE PLC IRELAND | $11.9M |
—HUDBAY MINERALS INC | $11.8M |
—ALLETE INC | $11.6M |
—TEVA PHARMACEUTICAL INDS LTD | $11.6M |
—S&P GLOBAL INC | $11.6M |
—TREEHOUSE FOODS INC | $11.5M |
—TEXAS INSTRS INC | $11.5M |
—SKYWEST INC | $11.4M |
—ADTRAN INC | $11.4M |
—CHUBB LIMITED | $11.3M |
—VAIL RESORTS INC | $11.3M |
—SIMPSON MANUFACTURING CO INC | $11.3M |
—ENERSIS AMERICAS SA | $11.3M |