FRONTIER CAPITAL MANAGEMENT CO LLC Q4 2016 Filing

Filed February 3, 2017

Portfolio Value

$13.0B

Holdings

321

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (321 positions)

#StockSharesValue% PortfolioType
1
UALUnited Continental Holdings Inc.
2,791,758$203.5B1564.69%
2
BECNUSDBeacon Roofing Supply Inc.
4,211,066$194.0B1491.94%
3
EAElectronic Arts Inc.
2,454,035$193.3B1486.38%
4
COOCooper Companies Inc.
1,082,981$189.4B1456.89%
5
EEFTEuronet Worldwide Inc.
2,267,132$164.2B1262.80%
6
RJFRaymond James Financial Inc.
2,271,205$157.3B1209.88%
7
Carrizo Oil & Gas Inc.
4,179,959$156.1B1200.61%
8
ROSTRoss Stores Inc.
2,244,268$147.2B1132.19%
9
QRVOQorvo Inc.
2,775,676$145.8B1121.52%
10
TQJSignature Bank
930,381$139.7B1074.66%
11
EXPEagle Materials Inc.
1,412,459$139.2B1070.26%
12
CDKCDK Global Inc
2,290,773$136.7B1051.54%
13
OPLNKAR Auction Services Inc.
3,158,996$134.6B1035.39%
14
EFXEquifax Inc.
1,116,721$132.0B1015.35%
15
BERYEURBerry Plastics Group Inc.
2,667,959$130.0B999.81%
16
GPNGlobal Payments Inc.
1,870,151$129.8B998.25%
17
ARMKAramark
3,606,561$128.8B990.71%
18
TiVo Corp.
6,149,344$128.5B988.36%
19
BPOPPopular Inc.
2,890,054$126.6B973.91%
20
CITCintas Corporation
1,085,194$125.4B964.40%
21
LKQ1LKQ Corporation
3,973,360$121.8B936.54%
22
STERIS Plc
1,761,075$118.7B912.67%
23
ZTSZoetis Inc. Class A
2,215,973$118.6B912.23%
24
OGM1Cogent Communications Holdings Inc
2,855,908$118.1B908.16%
25
Argo Group International Holdings Ltd.
1,749,711$115.3B886.73%
26
INCYIncyte Corporation
1,104,616$110.8B851.77%
27
MTZMasTec Inc.
2,889,184$110.5B849.86%
28
CDNSCadence Design Systems Inc.
4,346,846$109.6B843.06%
29
BCRUSDC. R. Bard Inc.
479,850$107.8B829.03%
30
Integrated Device Technology Inc.
4,506,071$106.2B816.42%
31
OLEDUniversal Display Corporation
1,834,689$103.3B794.35%
32
Tessera Holding Corp.
2,292,387$101.3B779.21%
33
AONAon plc
900,913$100.5B772.71%
34
WCNWaste Connections Inc.
1,259,853$99.0B761.43%
35
MLMMartin Marietta Materials Inc.
446,423$98.9B760.54%
36
ORLYO'Reilly Automotive Inc.
353,685$98.5B757.25%
37
BCBrunswick Corporation
1,760,572$96.0B738.44%
38
FT2First Horizon National Corporation
4,571,230$91.5B703.43%
39
LRCXEURLam Research Corporation
856,719$90.6B696.59%
40
Aspen Insurance Holdings Limited
1,638,181$90.1B692.89%
41
ONON Semiconductor Corporation
7,040,691$89.8B690.89%
42
DGDollar General Corporation
1,191,820$88.3B678.88%
43
NDAQNasdaq Inc.
1,311,390$88.0B676.90%
44
Kraton Corporation
3,050,352$86.9B668.08%
45
HDSUSDHD Supply Holdings Inc.
1,986,615$84.5B649.45%
46
Vantiv Inc. Class A
1,397,155$83.3B640.58%
47
AOSA. O. Smith Corporation
1,726,032$81.7B628.51%
48
JBLJabil Circuit Inc.
3,346,246$79.2B609.12%
49
EWEdwards Lifesciences Corporation
841,420$78.8B606.31%
50
WBSWebster Financial Corporation
1,434,241$77.9B598.70%
51
VMCVulcan Materials Company
604,429$75.6B581.72%
52
SMTCSemtech Corporation
2,359,763$74.5B572.55%
53
IMAIMAX Corporation
2,281,504$71.6B550.92%
54
FMCFMC Corporation
1,265,196$71.6B550.31%
55
RNSTRenasant Corporation
1,687,860$71.3B548.02%
56
ATDAllegheny Technologies Incorporated
4,401,175$70.1B539.17%
57
SHWSherwin-Williams Company
260,109$69.9B537.57%
58
ATVIEURActivision Blizzard Inc.
1,931,709$69.8B536.43%
59
MODModine Manufacturing Company
4,675,116$69.7B535.70%
60
FFICFlushing Financial Corporation
2,343,460$68.9B529.66%
61
Career Education Corporation
6,779,237$68.4B526.04%
62
PORPortland General Electric Company
1,578,156$68.4B525.87%
63
Navigators Group Inc.
579,526$68.2B524.78%
64
BMC Stock Holdings Inc.
3,469,897$67.7B520.35%
65
JKHYJack Henry & Associates Inc.
756,653$67.2B516.60%
66
SBACSBA Communications Corp. Class A
643,981$66.5B511.38%
67
MGMMGM Resorts International
2,295,832$66.2B509.01%
68
BMRNBioMarin Pharmaceutical Inc.
780,052$64.6B496.95%
69
TCBITexas Capital Bancshares Inc.
815,180$63.9B491.49%
70
WSOWatsco Inc.
431,078$63.9B491.03%
71
WAFDWashington Federal Inc.
1,857,983$63.8B490.81%
72
WTWWillis Towers Watson Public Limited Co
518,478$63.4B487.56%
73
BFHAlliance Data Systems Corporation
274,011$62.6B481.50%
74
ITRIItron Inc.
987,634$62.1B477.36%
75
ILMNIllumina Inc.
481,675$61.7B474.29%
76
WWDWoodward Inc.
890,622$61.5B472.93%
77
VECOVeeco Instruments Inc.
2,092,057$61.0B468.98%
78
VREMack-Cali Realty Corporation
2,101,267$61.0B468.95%
79
JRVRJames River Group Holdings Ltd
1,465,624$60.9B468.31%
80
RHT1EURRed Hat Inc.
868,992$60.6B465.79%
81
PODDInsulet Corporation
1,571,877$59.2B455.48%
82
ETRAE TRADE Financial Corporation
1,695,840$58.8B451.89%
83
EXPEExpedia Inc.
510,029$57.8B444.31%
84
FLEXFlex Ltd.
4,013,664$57.7B443.54%
85
AFWAlign Technology Inc.
584,360$56.2B432.00%
86
HNIHNI Corporation
995,223$55.7B427.99%
87
WAIREURWesco Aircraft Holdings Inc
3,592,955$53.7B413.08%
88
APHAmphenol Corporation Class A
794,678$53.4B410.68%
89
SIGISelective Insurance Group Inc.
1,220,282$52.5B403.99%
90
BCCBoise Cascade Co.
2,328,292$52.4B402.87%
91
ALKSAlkermes Plc
942,034$52.4B402.65%
92
TFXTeleflex Incorporated
317,461$51.2B393.43%
93
MMSIMerit Medical Systems Inc.
1,919,573$50.9B391.20%
94
MYGNMyriad Genetics Inc.
3,034,522$50.6B389.01%
95
JBHTJ.B. Hunt Transport Services Inc.
520,238$50.5B388.36%
96
37MMRC Global Inc.
2,490,285$50.5B388.00%
97
MDUMDU Resources Group Inc.
1,749,208$50.3B387.01%
98
MPWRMonolithic Power Systems Inc.
609,697$50.0B384.14%
99
GNRCGenerac Holdings Inc.
1,221,416$49.8B382.67%
100
DC4DexCom Inc.
832,686$49.7B382.29%
Page 1 of 4Next