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Institutional Investment Manager
EAGLE ASSET MANAGEMENT INC
EAGLE ASSET MANAGEMENT INC (CIK: 0000790502) incorporated in Florida, located at 880 Carillon Parkway, St Petersburg, FL. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 608 holdings with a total value of $17,475,670,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 HALLIBURTON CO 1,386,046 60,819,000 0.35%
102 SYSCO CORP 1,605,335 60,569,000 0.35%
103 EXAMWORKS GROUP INC COM 1,440,045 59,934,000 0.34%
104 CORNERSTONE ONDEMAND INC 2,073,409 59,900,000 0.34%
105 CONOCOPHILLIPS 948,719 59,067,000 0.34%
106 ZELTIQ AESTHETICS INC 1,895,035 58,423,000 0.33%
107 TEXAS CAPITAL BANCSHARES INC 1,172,768 57,055,000 0.33%
108 ANSYS 646,434 57,009,000 0.33%
109 WOODWARD INC 1,113,432 56,796,000 0.33%
110 YELP INC 1,183,022 56,016,000 0.32%
111 VINCE HLDG CORP 3,004,552 55,734,000 0.32%
112 PORTOLA PHARMACEUTICALS INC 1,465,800 55,641,000 0.32%
113 SIRIUS XM HOLDINGS INC 14,443,071 55,172,000 0.32%
114 DIAMONDBACK ENERGY INC 717,095 55,101,000 0.32%
115 Medassets Inc 2,927,567 55,096,000 0.32%
116 ASPEN TECHNOLOGY COM USD0.10 1,423,028 54,772,000 0.31%
117 STRATASYS LTD 1,033,029 54,523,000 0.31%
118 CARDINAL FINL CORP COM 2,720,422 54,354,000 0.31%
119 CHIMERIX INC 1,432,605 53,994,000 0.31%
120 TUPPERWARE BRANDS CORP 774,620 53,464,000 0.31%
121 THERMON GROUP HLDGS INC COM 2,205,958 53,097,000 0.30%
122 KB HOME 3,384,509 52,866,000 0.30%
123 ENSTAR GROUP LIMITED COM 370,174 52,512,000 0.30%
124 PUMA BIOTECHNOLOGY 222,100 52,440,000 0.30%
125 MCDONALDS CORP 533,527 51,986,000 0.30%
126 EMCOR GROUP INC 1,114,792 51,804,000 0.30%
127 NEUROCRINE BIOSCIE COM USD0.001 1,298,434 51,560,000 0.30%
128 COOPER COS INC 274,843 51,511,000 0.29%
129 Monster Beverage Corpo 371,743 51,447,000 0.29%
130 TWO HBRS INVT CORP 4,836,953 51,368,000 0.29%
131 RTI INTERNATIONAL 1,397,500 50,184,000 0.29%
132 PALO ALTO NETWORKS INC 342,109 49,975,000 0.29%
133 WEBMD HEALTH CORP 1,139,355 49,943,000 0.29%
134 PROLOGIS INC 1,136,753 49,516,000 0.28%
135 CITIGROUPINC 955,756 49,240,000 0.28%
136 3M CO 297,062 49,000,000 0.28%
137 SYNOVUS FINL CORP 1,707,736 47,833,000 0.27%
138 WEST PHARMACEUTICAL SVSC INC 786,836 47,375,000 0.27%
139 DEVON ENERGY CORP NEW 770,958 46,496,000 0.27%
140 ADVISORY BRD CO COM 855,287 45,569,000 0.26%
141 SKYWORKS SOLUTIONS INC 457,013 44,919,000 0.26%
142 LIBERTY MEDIA HOLDING CP INTER A 1,536,390 44,847,000 0.26%
143 CELLADON CORP 2,325,479 44,044,000 0.25%
144 VAIL RESORTS INC 423,958 43,845,000 0.25%
145 PNC FINL SVCS GROUP INC 462,948 43,165,000 0.25%
146 DOMINOS PIZZA INC 427,653 43,000,000 0.25%
147 CONSTELLATION BRANDS INC 363,972 42,297,000 0.24%
148 UMB FINL CORP 788,787 41,718,000 0.24%
149 KORN FERRY COM NEW 1,260,845 41,443,000 0.24%
150 TYCO INTL LTD. 957,736 41,240,000 0.24%
Page 3 of 13

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001062993-15-002102, filed 2015.04.22).

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.