FRONTIER CAPITAL MANAGEMENT CO LLC Q2 2017 Filing

Filed August 4, 2017

Portfolio Value

$13.7B

Holdings

322

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (322 positions)

#StockSharesValue% PortfolioType
101
APHAmphenol Corporation Class A
746,161$55.1B402.28%
102
Interxion Holding N.V.
1,198,656$54.9B400.76%
103
TILEInterface Inc.
2,783,501$54.7B399.46%
104
ITRIItron Inc.
805,175$54.6B398.40%
105
RNSTRenasant Corporation
1,245,877$54.5B397.99%
106
Navigators Group Inc.
978,494$53.7B392.33%
107
ALKSAlkermes Plc
903,692$52.4B382.60%
108
ITGartner Inc.
422,191$52.1B380.83%
109
KLX Inc.
1,037,957$51.9B379.03%
110
AIMCUSDAltra Industrial Motion Corp.
1,284,012$51.1B373.23%
111
Cousins Properties Incorporated
5,781,908$50.8B371.18%
112
GSMFerroglobe PLC
4,153,936$49.6B362.54%
113
HTAEURHealthcare Trust of America Inc. Class
1,582,345$49.2B359.52%
114
JBLUJetBlue Airways Corporation
2,132,156$48.7B355.50%
115
WSOWatsco Inc.
311,363$48.0B350.65%
116
MDUMDU Resources Group Inc.
1,792,773$47.0B343.04%
117
IMAIMAX Corporation
2,115,395$46.5B339.89%
118
Ellie Mae Inc.
411,753$45.3B330.52%
119
UTLUnitil Corporation
935,015$45.2B329.90%
120
AWMSkyworks Solutions Inc.
470,039$45.1B329.38%
121
WIREEUREncore Wire Corporation
1,054,673$45.0B328.90%
122
MCOMoody's Corporation
369,176$44.9B328.07%
123
DLTRDollar Tree Inc.
608,627$42.6B310.79%
124
37MMRC Global Inc.
2,537,387$41.9B306.14%
125
Investment Technology Group Inc.
1,963,983$41.7B304.66%
126
HNIHNI Corporation
1,026,456$40.9B298.89%
127
BDCBelden Inc.
540,095$40.7B297.53%
128
INFNEURInfinera Corporation
3,774,624$40.3B294.14%
129
BFAMBright Horizons Family Solutions Inc.
520,089$40.2B293.27%
130
CSTECaesarstone Ltd.
1,103,637$38.7B282.51%
131
RG6Rogers Corporation
356,062$38.7B282.46%
132
VLRSControladora Vuela Compania de Aviacio
2,643,372$38.5B280.89%
133
DECKDeckers Outdoor Corporation
560,840$38.3B279.59%
134
Actuant Corporation Class A
1,550,027$38.1B278.48%
135
FTNTFortinet Inc.
1,015,725$38.0B277.74%
136
IPHSEURInnophos Holdings Inc.
856,430$37.5B274.21%
137
CFCF Industries Holdings Inc.
1,333,644$37.3B272.33%
138
TXRHTexas Roadhouse Inc.
728,997$37.1B271.26%
139
FMFFormFactor Inc.
2,974,990$36.9B269.42%
140
UPBDRent-A-Center Inc
3,146,797$36.9B269.35%
141
ONON Semiconductor Corporation
2,496,813$35.1B256.02%
142
SEICSEI Investments Company
640,351$34.4B251.51%
143
GVAGranite Construction Incorporated
708,328$34.2B249.55%
144
DXPEDXP Enterprises Inc.
983,427$33.9B247.79%
145
GDOTGreen Dot Corporation Class A
872,781$33.6B245.60%
146
DC4DexCom Inc.
458,723$33.6B245.07%
147
CRSCarpenter Technology Corporation
894,458$33.5B244.51%
148
CXOEURConcho Resources Inc.
272,515$33.1B241.88%
149
SMSM Energy Company
1,972,875$32.6B238.18%
150
TCBITexas Capital Bancshares Inc.
419,478$32.5B237.12%
151
PLNTPlanet Fitness Inc. Class A
1,380,583$32.2B235.33%
152
ENSEnerSys
433,906$31.4B229.59%
153
REEverest Re Group Ltd.
122,896$31.3B228.51%
154
Virtusa Corporation
1,062,888$31.2B228.22%
155
PACWUSDPacWest Bancorp
657,490$30.7B224.25%
156
Blue Buffalo Pet Products Inc
1,337,940$30.5B222.88%
157
MTORMeritor Inc.
1,816,873$30.2B220.40%
158
TRUTransUnion
695,110$30.1B219.87%
159
Global Eagle Entertainment Inc.
8,050,923$28.7B209.32%
160
WABWestinghouse Air Brake Technologies Co
306,824$28.1B205.03%
161
LPXLouisiana-Pacific Corporation
1,148,875$27.7B202.29%
162
Medicines Company
709,229$27.0B196.88%
163
CSIIEURCardiovascular Systems Inc.
820,660$26.4B193.17%
164
Impax Laboratories Inc.
1,585,828$25.5B186.47%
165
Del Taco Restaurants Inc.
1,852,720$25.5B186.05%
166
Swift Transportation Company Class A
960,962$25.5B185.98%
167
RCLRoyal Caribbean Cruises Ltd.
229,296$25.0B182.92%
168
Control4 Corporation
1,274,599$25.0B182.55%
169
Parkway Inc.
1,087,880$24.9B181.87%
170
BGGUSDBriggs & Stratton Corporation
1,024,012$24.7B180.24%
171
GPKGraphic Packaging Holding Company
1,746,151$24.1B175.73%
172
PTCTPTC Therapeutics Inc.
1,311,758$24.0B175.61%
173
ALBAlbemarle Corporation
224,010$23.6B172.66%
174
HUBSHubSpot Inc.
356,498$23.4B171.19%
175
Leucadia National Corporation
893,073$23.4B170.63%
176
ABMDEURABIOMED Inc.
162,730$23.3B170.31%
177
Tronox Ltd. Class A
1,535,946$23.2B169.61%
178
CDECoeur Mining Inc.
2,701,087$23.2B169.25%
179
NUANEURNuance Communications Inc.
1,324,130$23.1B168.36%
180
ZEN1EURZendesk Inc.
820,923$22.8B166.55%
181
WCCWESCO International Inc.
391,023$22.4B163.64%
182
TDCTeradata Corporation
754,897$22.3B162.59%
183
AEMAgnico-Eagle Mines Limited
493,251$22.3B162.54%
184
Cypress Semiconductor Corporation
1,620,744$22.1B161.57%
185
IEIInsight Enterprises Inc.
546,974$21.9B159.75%
186
MXIMMaxim Integrated Products Inc.
486,963$21.9B159.69%
187
Callidus Software Inc.
885,742$21.4B156.55%
188
SAIASaia Inc.
413,335$21.2B154.86%
189
AALAmerican Airlines Group Inc.
407,275$20.5B149.67%
190
Blackhawk Network Holdings Inc
466,839$20.4B148.65%
191
APAMArtisan Partners Asset Management Inc.
650,089$20.0B145.76%
192
Envision Healthcare Corp.
316,820$19.9B145.01%
193
Greenhill & Co. Inc.
986,236$19.8B144.77%
194
TREXTrex Company Inc.
289,840$19.6B143.23%
195
NNNNational Retail Properties Inc.
500,832$19.6B143.02%
196
WSFSWSFS Financial Corporation
431,750$19.6B143.00%
197
PDCEUSDPDC Energy Inc
441,423$19.0B138.98%
198
NEWREURNew Relic Inc.
442,318$19.0B138.94%
199
ACADACADIA Pharmaceuticals Inc.
671,709$18.7B136.82%
200
WRBW. R. Berkley Corporation
269,819$18.7B136.30%
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