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Institutional Investment Manager
FRED ALGER MANAGEMENT, LLC
FRED ALGER MANAGEMENT, LLC (CIK: 0000003520) incorporated in Delaware, located at 100 Pearl Street, 27th Floor, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Original 13F HR (0001104659-14-060795) filed in 2014.08.14
#
Name
Shares
Value ($)
%
Options
Notes
601 MAXIMUS INC 677,891 29,163 0.14%
602 POLYONE CORP 695,654 29,315 0.14%
603 HAIN CELESTIAL GROUP INC 330,619 29,339 0.14%
604 WATTS WATER TECHNOLOGIES INC 477,915 29,502 0.15%
605 ROSETTA RESOURCES INC 540,731 29,659 0.15%
606 BRUNSWICK CORP 708,470 29,848 0.15%
607 OSI SYSTEMS INC COM 452,478 30,203 0.15%
608 DONALDSON INC 729,181 30,859 0.15%
609 HEALTHSOUTH CORP 868,457 31,152 0.15%
610 ATHENA HEALTH INC. 252,215 31,560 0.16%
611 ASPEN TECHNOLOGY COM USD0.10 684,885 31,779 0.16%
612 ANHEUSER BUSCH INBEV SA/NV 276,692 31,803 0.16%
613 GRAPHIC PACKAGING HLDG CO 2,742,989 32,093 0.16%
614 GRAND CANYON ED INC 698,277 32,100 0.16%
615 MCDONALDS CORP 324,617 32,702 0.16%
616 SYNCHRONOSS TECHNOLOGIES INC 937,264 32,767 0.16%
617 TIFFANY & CO NEW 327,054 32,787 0.16%
618 TENET HEALTHCARE CORP 723,026 33,939 0.17%
619 AVAGO TECHNOLOGIES LTD SHS 476,250 34,323 0.17%
620 WRIGHT MEDICAL GROUP NV 1,098,769 34,501 0.17%
621 MICROSEMI CORP 1,291,167 34,552 0.17%
622 SIX FLAGS ENTMT CORP NEW 812,710 34,581 0.17%
623 MOLINA HEALTHCARE INC 782,525 34,924 0.17%
624 VERTEX PHARMACEUTICALS INC 372,999 35,316 0.17%
625 MICHAEL KORS HLDGS LTD 401,045 35,553 0.18%
626 Arris Group Inc 1,105,939 35,976 0.18%
627 ALIGN TECHNOLOGY INC 643,082 36,038 0.18%
628 ALTERA CORPORATION 1,058,514 36,794 0.18%
629 PIONEER NAT RES CO 161,341 37,078 0.18%
630 DOW CHEM CO 722,301 37,170 0.18%
631 LINCOLN NATL CORP IND 723,829 37,234 0.18%
632 Monster Beverage Corpo 525,666 37,338 0.18%
633 SunEdison Inc 1,692,219 38,244 0.19%
634 SAP SE 500,353 38,527 0.19%
635 EXXON MOBIL CORP 387,402 39,004 0.19%
636 L BRANDS INC 674,102 39,543 0.19%
637 LIBERTY GLOBAL PLC 958,203 42,372 0.21%
638 CANADIAN NATL RY CO 669,721 43,545 0.21%
639 FORTUNE BRANDS HOME & SEC IN 1,100,699 43,951 0.22%
640 VALEANT PHARMACEUTICALS INTL 357,861 45,133 0.22%
641 BROADCOM CORP CL A 1,247,791 46,318 0.23%
642 UNIVERSAL HLTH SVCS INC 508,727 48,716 0.24%
643 CTRIP COM INTL LTD 765,646 49,032 0.24%
644 CHEMTURA CORP 1,886,357 49,291 0.24%
645 SOFTBANK CORP 670,316 49,911 0.25%
646 QUANTA SVCS INC 1,455,193 50,321 0.25%
647 DISH NETWORK A 814,699 53,021 0.26%
648 Trulia Inc 1,125,457 53,324 0.26%
649 UNITED TECHNOLOGIES CORP 478,137 55,201 0.27%
650 MOLSON COORS BREWING CO 747,594 55,442 0.27%
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