FMR LLC Q2 2016 Filing
Filed August 11, 2016
Portfolio Value
$732.6M
Holdings
2,647
Report Date
Q2 2016
Filing Type
13F-HR
All Holdings (2,647 positions)
| Stock | Value |
|---|---|
—CHINA BIOLOGIC PRODS INC | $151K |
WFC 7.5 PERP LWELLS FARGO & CO NEW | $150K |
—CARRIZO OIL & GAS INC | $150K |
CHDCHURCH & DWIGHT INC | $150K |
VSTOEURVISTA OUTDOOR INC | $150K |
DARDARLING INGREDIENTS INC | $149K |
—TUMI HLDGS INC | $149K |
—NEW YORK REIT INC | $149K |
SNPSSYNOPSYS INC | $149K |
—PRIVATEBANCORP INC | $149K |
ICEINTERCONTINENTAL EXCHANGE IN | $147K |
ARWARROW ELECTRS INC | $147K |
CATYCATHAY GEN BANCORP | $146K |
JDJD COM INC | $146K |
—ALLERGAN PLC | $146K |
NNNNATIONAL RETAIL PPTYS INC | $146K |
PBYIPUMA BIOTECHNOLOGY INC | $145K |
PSAPUBLIC STORAGE | $145K |
SG7SAGE THERAPEUTICS INC | $145K |
PBRPETROLEO BRASILEIRO SA PETRO | $144K |
9990302DAPACHE CORP | $144K |
—BANK OF THE OZARKS INC | $144K |
PCHPOTLATCH CORP NEW | $143K |
—POLYONE CORP | $143K |
WSOWATSCO INC | $143K |
—MULTI COLOR CORP | $143K |
TMOTHERMO FISHER SCIENTIFIC INC | $142K |
DRHDIAMONDROCK HOSPITALITY CO | $142K |
—MDC PARTNERS INC | $142K |
IVWISHARES TR | $142K |
WNSNWNS HOLDINGS LTD | $141K |
ADIANALOG DEVICES INC | $141K |
FLSFLOWSERVE CORP | $140K |
—PARSLEY ENERGY INC | $139K |
—PARKWAY PPTYS INC | $139K |
EOGEOG RES INC | $139K |
EPDENTERPRISE PRODS PARTNERS L | $139K |
EMEEMCOR GROUP INC | $139K |
VYXNCR CORP NEW | $139K |
BDCBELDEN INC | $139K |
—TRANSGENOMIC INC | $138K |
TRUTRANSUNION | $138K |
BKBANK NEW YORK MELLON CORP | $137K |
—DBV TECHNOLOGIES S A | $137K |
TFXTELEFLEX INC | $137K |
NTGRNETGEAR INC | $136K |
MPLXMPLX LP | $136K |
BPOPPOPULAR INC | $136K |
IJRISHARES TR | $135K |
HUBGHUB GROUP INC | $134K |
STZCONSTELLATION BRANDS INC | $134K |
MGNXMACROGENICS INC | $134K |
SNASNAP ON INC | $134K |
PKGPACKAGING CORP AMER | $134K |
—TESORO CORP | $134K |
—E M C CORP MASS | $133K |
KRKROGER CO | $133K |
VCVISTEON CORP | $133K |
FRTEURFEDERAL REALTY INVT TR | $133K |
HRSEURHARRIS CORP DEL | $131K |
ACGLARCH CAP GROUP LTD | $130K |
HYGISHARES TR | $130K |
—COTT CORP QUE | $130K |
MNSTMONSTER BEVERAGE CORP NEW | $129K |
—EMPIRE DIST ELEC CO | $129K |
—SUPERIOR ENERGY SVCS INC | $129K |
—FELCOR LODGING TR INC | $129K |
XLNXEURXILINX INC | $129K |
PAYCPAYCOM SOFTWARE INC | $129K |
—CST BRANDS INC | $128K |
WEXWEX INC | $128K |
—CORNERSTONE ONDEMAND INC | $127K |
PEOEXELON CORP | $127K |
HSTMHEALTHSTREAM INC | $126K |
—RAIT FINANCIAL TRUST | $126K |
LGNDLIGAND PHARMACEUTICALS INC | $126K |
MINTPIMCO ETF TR | $126K |
NHINATIONAL HEALTH INVS INC | $125K |
—ASPEN INSURANCE HOLDINGS LTD | $125K |
EAELECTRONIC ARTS INC | $124K |
—ADEPTUS HEALTH INC | $124K |
—GLOBAL X FDS | $124K |
PSMTPRICESMART INC | $124K |
RJFRAYMOND JAMES FINANCIAL INC | $123K |
IJSISHARES TR | $123K |
GMGENERAL MTRS CO | $123K |
GEGGEO GROUP INC NEW | $122K |
EWYISHARES | $122K |
CALXCALIX INC | $122K |
—DSW INC | $121K |
—NETSUITE INC | $121K |
CTSHCOGNIZANT TECHNOLOGY SOLUTIO | $121K |
ANFABERCROMBIE & FITCH CO | $121K |
—FLEETMATICS GROUP PLC | $120K |
—SPECTRANETICS CORP | $120K |
—PENNEY J C INC | $120K |
VENVENTAS INC | $120K |
IJTISHARES TR | $120K |
—LEXMARK INTL INC | $119K |
—CEMPRA INC | $119K |