FRONTIER CAPITAL MANAGEMENT CO LLC Q4 2017 Filing

Filed January 18, 2018

Portfolio Value

$13.7B

Holdings

320

Report Date

Q4 2017

Filing Type

13F-HR

All Holdings (320 positions)

StockValue
ATDAllegheny Technologies Incorporated
$189.5B
BECNUSDBeacon Roofing Supply Inc.
$188.4B
GPNGlobal Payments Inc.
$173.2B
Integrated Device Technology Inc.
$171.8B
RJFRaymond James Financial Inc.
$158.0B
CITCintas Corporation
$154.5B
Carrizo Oil & Gas Inc.
$149.8B
CNDTConduent Inc.
$149.5B
DGDollar General Corporation
$148.7B
FMCFMC Corporation
$147.3B
PODDInsulet Corporation
$144.6B
BERYEURBerry Global Group Inc
$144.1B
ZTSZoetis Inc. Class A
$144.0B
COOCooper Companies Inc.
$143.0B
ORLYO'Reilly Automotive Inc.
$139.2B
QRVOQorvo Inc.
$138.9B
DXCDXC Technology Co.
$137.7B
EXPEagle Materials Inc.
$136.0B
MPWRMonolithic Power Systems Inc.
$135.4B
WBSWebster Financial Corporation
$135.4B
Kraton Corporation
$135.4B
OPLNKAR Auction Services Inc.
$133.4B
LKQ1LKQ Corporation
$126.6B
4DHDana Incorporated
$124.5B
WCNWaste Connections Inc.
$122.4B
SBACSBA Communications Corp. Class A
$121.4B
UALUnited Continental Holdings Inc.
$118.4B
JBLUJetBlue Airways Corporation
$118.3B
OLEDUniversal Display Corporation
$117.3B
CDKCDK Global Inc
$112.6B
ARMKAramark
$110.6B
EEFTEuronet Worldwide Inc.
$110.6B
AONAon plc
$108.6B
SSNCSS&C Technologies Holdings Inc.
$108.2B
LGIHLGI Homes Inc.
$104.4B
BALLBall Corporation
$103.0B
MTSIMACOM Technology Solutions Holdings In
$98.3B
BMC Stock Holdings Inc.
$96.0B
ACHCAcadia Healthcare Company Inc.
$94.7B
MLMMartin Marietta Materials Inc.
$92.4B
FT2First Horizon National Corporation
$92.3B
BPOPPopular Inc.
$92.2B
Interxion Holding N.V.
$91.4B
EAElectronic Arts Inc.
$91.0B
NDAQNasdaq Inc.
$90.9B
Aspen Insurance Holdings Limited
$89.3B
Argo Group International Holdings Ltd.
$89.0B
HDSUSDHD Supply Holdings Inc.
$88.6B
EWEdwards Lifesciences Corporation
$86.8B
YUMYum! Brands Inc.
$86.7B
ILMNIllumina Inc.
$85.1B
SMTCSemtech Corporation
$84.3B
Career Education Corporation
$82.6B
WTWWillis Towers Watson Public Limited Co
$82.0B
MODModine Manufacturing Company
$81.4B
MTZMasTec Inc.
$81.0B
STERIS Plc
$80.7B
MNSTMonster Beverage Corporation
$79.9B
INCYIncyte Corporation
$79.4B
AOSA. O. Smith Corporation
$79.3B
LRCXEURLam Research Corporation
$78.5B
Diplomat Pharmacy Inc.
$76.8B
ETRAE TRADE Financial Corporation
$76.4B
SHWSherwin-Williams Company
$75.8B
VMCVulcan Materials Company
$75.7B
QIAGEN NV
$75.6B
RHT1EURRed Hat Inc.
$74.6B
BMRNBioMarin Pharmaceutical Inc.
$73.9B
PORPortland General Electric Company
$72.7B
PANWPalo Alto Networks Inc.
$70.6B
BFHAlliance Data Systems Corporation
$70.4B
ATVIEURActivision Blizzard Inc.
$70.2B
FLEXFlex Ltd.
$69.8B
AFWAlign Technology Inc.
$69.0B
SERVUSDServiceMaster Global Holdings Inc.
$68.6B
TILEInterface Inc.
$67.9B
ROSTRoss Stores Inc.
$67.4B
MYGNMyriad Genetics Inc.
$67.2B
KLX Inc.
$67.0B
WEXWEX Inc.
$66.7B
SEICSEI Investments Company
$66.1B
SHOSunstone Hotel Investors Inc.
$63.3B
APHAmphenol Corporation Class A
$63.1B
GSMFerroglobe PLC
$62.6B
DLTRDollar Tree Inc.
$62.6B
FFICFlushing Financial Corporation
$62.5B
CDNSCadence Design Systems Inc.
$61.3B
NVROEURNevro Corp.
$61.3B
WAFDWashington Federal Inc.
$61.2B
JKHYJack Henry & Associates Inc.
$61.2B
TPCTutor Perini Corporation
$61.0B
JBLJabil Inc.
$60.6B
XRAYDENTSPLY SIRONA Inc.
$60.4B
CRSCarpenter Technology Corporation
$60.3B
SMSM Energy Company
$59.9B
OGM1Cogent Communications Holdings Inc
$56.9B
TiVo Corp.
$56.0B
RG6Rogers Corporation
$56.0B
MGMMGM Resorts International
$55.4B
Vantiv Inc. Class A
$54.1B
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