Dark
Light
System
Institutional Investment Manager
OppenheimerFunds, Inc.
OppenheimerFunds, Inc. (CIK: 0000728889) incorporated in Colorado, located at 225 Liberty Street, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0000728889-17-000311) filed in 2017.02.14
#
Name
Shares
Value ($)
%
Options
Notes
351 WestRock Co 877,984 44,575 0.06%
352 Edwards Lifesciences Corp 468,085 43,860 0.06%
353 DiamondRock Hospitality Co 3,803,241 43,852 0.06%
354 NEVRO CORP COM 600,000 43,596 0.06%
355 AO Smith Corp 917,259 43,433 0.05%
356 ONEOK Inc 754,205 43,299 0.05%
357 EXTENDED STAY AMER INC UNIT 99/99/9999B 2,673,620 43,179 0.05%
358 Spirit Realty Capital Inc 3,972,087 43,137 0.05%
359 Newfield Exploration Co 1,059,273 42,901 0.05%
360 Prestige Brands Holdings Inc 822,756 42,865 0.05%
361 CREDICORP LTD 271,255 42,820 0.05%
362 Zayo Group Holdings Inc 1,298,246 42,660 0.05%
363 Lennox International Inc 277,753 42,544 0.05%
364 East West Bancorp Inc 829,897 42,184 0.05%
365 FEDEX CORP 225,702 42,026 0.05%
366 CyrusOne Inc 938,658 41,986 0.05%
367 Physicians Realty Trust 2,213,224 41,963 0.05%
368 Tyler Technologies Inc 293,524 41,906 0.05%
369 Berry Plastics Group Inc 859,895 41,903 0.05%
370 Post Holdings Inc 520,869 41,873 0.05%
371 Visteon Corp 519,859 41,766 0.05%
372 MB Financial Inc 883,517 41,728 0.05%
373 Monolithic Power Systems Inc 505,375 41,405 0.05%
374 First Industrial Realty Trust Inc 1,475,596 41,390 0.05%
375 Realogy Holdings Corp 1,596,148 41,069 0.05%
376 COMMUNICATIONS SALES&LEAS 1,590,243 40,408 0.05%
377 Align Technology Inc 418,611 40,241 0.05%
378 CACI International Inc 320,809 39,877 0.05%
379 Vertex Pharmaceuticals Inc 538,102 39,642 0.05%
380 Group 1 Automotive Inc 508,359 39,620 0.05%
381 ANTERO MIDSTREAM PARTNERS LP UNT LTD PARTN 1,278,620 39,484 0.05%
382 Portland Gen Elec Co 908,984 39,386 0.05%
383 AVANGRID INC COM 1,031,940 39,090 0.05%
384 SVB Financial Group 222,349 38,169 0.05%
385 Sonoco Products Co 723,530 38,130 0.05%
386 Methanex Corp 861,372 37,728 0.05%
387 Dolby Laboratories Inc 833,382 37,661 0.05%
388 Exelon Corp 771,310 37,339 0.05%
389 Regency Centers Corp 538,562 37,134 0.05%
390 NORTHROP GRUMMAN CORP 159,490 37,095 0.05%
391 MADISON SQUARE GARDEN CO NEW CL A 214,164 36,732 0.05%
392 Packaging Corp of America 431,931 36,636 0.05%
393 Middleby Corp Del 281,898 36,311 0.05%
394 John Bean Technologies Corp 420,159 36,113 0.05%
395 HIGHWOODS PPTYS INC 707,859 36,108 0.05%
396 CubeSmart 1,348,400 36,097 0.05%
397 Semtech Corp 1,135,944 35,839 0.05%
398 GASLOG PARTNERS LP 1,742,367 35,806 0.05%
399 SUMMIT MATLS INC CL A 1,498,844 35,658 0.05%
400 Astec Industries Inc 528,428 35,648 0.05%
Page 8 of 36