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Institutional Investment Manager
PEREGRINE CAPITAL MANAGEMENT INC /MN/
PEREGRINE CAPITAL MANAGEMENT INC /MN/ (CIK: 0000764529). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 247 holdings with a total value of $3,837,294,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 NETSCOUT SYS INC 376,273 11,006,000 0.29%
102 UNITED CMNTY BKS BLAIRSVLE GA COM 523,800 11,010,000 0.29%
103 GREAT WESTERN BANCORP INC COM 331,972 11,061,000 0.29%
104 TESARO INCORPORATED 110,399 11,066,000 0.29%
105 RPC INC 661,720 11,117,000 0.29%
106 WESTERN ALLIANCE BANCORP 296,686 11,138,000 0.29%
107 WEBSTER FINL CORP CONN 296,373 11,265,000 0.29%
108 GARTNER INC 127,782 11,302,000 0.29%
109 ALDER BIOPHARMACEUTICALS INC 346,409 11,352,000 0.30%
110 TIVO CORPORATION COM 592,070 11,534,000 0.30%
111 GUIDEWIRE SOFTWARE INC 192,702 11,558,000 0.30%
112 MONSANTO CO NEW 113,847 11,635,000 0.30%
113 TA Associates Management LP 719,407 11,654,000 0.30%
114 CHEMICAL FINANCIAL CORPORATION 265,399 11,712,000 0.31%
115 CHEMTURA CORP 365,373 11,988,000 0.31%
116 CALLON PETE CO DEL 769,729 12,085,000 0.31%
117 SPX CORP 607,021 12,225,000 0.32%
118 TEMPUR SEALY INTL INC 217,675 12,351,000 0.32%
119 PACIRA PHARMACEUTICALS INC 361,930 12,385,000 0.32%
120 ALNYLAM PHARMACEUTICALS INC 184,399 12,499,000 0.33%
121 ECOLAB INC 103,081 12,547,000 0.33%
122 ANSYS 137,984 12,779,000 0.33%
123 PharMerica Corp 464,600 13,041,000 0.34%
124 CME GROUP INC 124,834 13,048,000 0.34%
125 Teladoc, Inc. 715,806 13,106,000 0.34%
126 MASTERCARD INCORPORATED 130,789 13,310,000 0.35%
127 LIFEPOINT HEALTH INC 227,136 13,453,000 0.35%
128 THOR INDS INC 159,072 13,473,000 0.35%
129 GASLOG LTD 933,980 13,589,000 0.35%
130 CHICAGO BRIDGE & IRON CO N V 491,153 13,767,000 0.36%
131 ENVESTNET INC 377,925 13,775,000 0.36%
132 LYON WILLIAM HOMES CL A NEW 743,343 13,789,000 0.36%
133 INTEGRATED DEVICE TECHNOLOGY 601,597 13,897,000 0.36%
134 CIRRUS LOGIC INC 265,598 14,117,000 0.37%
135 FLEXION THERAPEUTICS INC 722,905 14,126,000 0.37%
136 ZOES KITCHEN INC 639,971 14,201,000 0.37%
137 CHICOS FAS INC 1,202,274 14,307,000 0.37%
138 ALEXION PHARMACEUTIC 116,847 14,318,000 0.37%
139 ZENDESK INC 466,624 14,330,000 0.37%
140 Del Taco Restaurants, Inc. 1,208,221 14,402,000 0.38%
141 VIRTU FINL INCORPORATED CLASS A 970,520 14,529,000 0.38%
142 NANOMETRICS INC 651,044 14,544,000 0.38%
143 Pandora Media Inc 1,017,038 14,574,000 0.38%
144 ACTIVISION BLIZZARD INC 338,420 14,992,000 0.39%
145 ARGAN INC 255,074 15,098,000 0.39%
146 ACCURAY INCORPORATED COM 2,378,088 15,148,000 0.39%
147 TYLER TECHNOLOGIES INC 88,786 15,203,000 0.40%
148 KATE SPADE & CO 909,197 15,575,000 0.41%
149 APPLIED MICRO CIRCUITS ORD 2,241,705 15,580,000 0.41%
150 MASONITE INTL CORP NEW COM 251,683 15,647,000 0.41%
Page 3 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000764529-16-000014, filed 2016.10.31).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.