Dark
Light
System
Institutional Investment Manager
TURNER INVESTMENTS LLC
TURNER INVESTMENTS LLC (CIK: 0000877035) incorporated in Pennsylvania, located at 1000 Chesterbrook Blvd, Berwyn, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 546 holdings with a total value of $2,257,558,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BUFFALO WILD WINGS INC 26,978 4,471,000 0.20%
152 CHESAPEAKE LODGING TRUSTSH BEN INT 147,450 4,457,000 0.20%
153 TERADYNE INC 227,394 4,456,000 0.20%
154 H&E EQUIPMENT SERVICES LLC COM 121,462 4,414,000 0.20%
155 CHURCH & DWIGHT 63,024 4,408,000 0.20%
156 PACIRA PHARMACEUTICALS INC 47,080 4,325,000 0.19%
157 FLAMEL TECHNOLOGIES SA SPONSORED ADR 284,374 4,266,000 0.19%
158 LIVANOVA PLC 67,663 4,226,000 0.19%
159 SQUARE INC A 221,310 4,207,000 0.19%
160 HUMANA INC 32,050 4,093,000 0.18%
161 WATSCO INC 39,810 4,091,000 0.18%
162 BELDEN INC 52,300 4,088,000 0.18%
163 TYLER TECHNOLOGIES INC 44,790 4,085,000 0.18%
164 PVH CORPORATION 34,815 4,059,000 0.18%
165 EASTMAN CHEM CO 46,337 4,048,000 0.18%
166 PRECISION CASTPARTS 15,853 4,001,000 0.18%
167 IMAX CORP 140,400 3,999,000 0.18%
168 SANDISK CORP 37,490 3,915,000 0.17%
169 INTERFACE INC COM 205,920 3,879,000 0.17%
170 AEGERION PHARMACEUTICALS INC 118,790 3,812,000 0.17%
171 EXAMWORKS GROUP INC COM 120,000 3,808,000 0.17%
172 Nielsen Holdings B.V. 77,800 3,766,000 0.17%
173 CHART INDS INC 45,513 3,765,000 0.17%
174 SPS COMM INC 59,530 3,762,000 0.17%
175 NATURAL GROCERS VITAMIN CTGE 175,110 3,749,000 0.17%
176 PPG INDS INC 17,665 3,713,000 0.16%
177 OXFORD INDS INC COM 55,653 3,710,000 0.16%
178 PLATFORM SPECIALTY PRODS COR 131,200 3,678,000 0.16%
179 COMCAST CORP NEW 68,381 3,670,000 0.16%
180 GENTHERM INC 82,060 3,648,000 0.16%
181 Receptos Inc 85,630 3,648,000 0.16%
182 BRUNSWICK CORP 85,970 3,622,000 0.16%
183 DISCOVER FINL SVCS 57,776 3,581,000 0.16%
184 DISNEY WALT CO 41,652 3,571,000 0.16%
185 Pacific Sunwear Calif Inc 1,500,000 3,570,000 0.16%
186 METHODE ELECTRS INC COM 93,240 3,563,000 0.16%
187 BOULDER BRANDS INC 250,000 3,545,000 0.16%
188 CANADIAN PAC RY LTD 19,170 3,473,000 0.15%
189 ALLERGAN PLC 15,513 3,461,000 0.15%
190 DIODES INC COM 117,800 3,411,000 0.15%
191 SALIX PHARMACEUTICALS INC 27,570 3,401,000 0.15%
192 HANMI FINL CORP COM NEW 160,730 3,388,000 0.15%
193 PROTHENA CORP PLC 150,240 3,388,000 0.15%
194 MEAD JOHNSON NUTRITI 35,790 3,335,000 0.15%
195 C H ROBINSON WORLDWIDE INC 51,610 3,293,000 0.15%
196 PGT INNOVATIONS INC COM 387,440 3,282,000 0.15%
197 COHERENT INC 49,584 3,281,000 0.15%
198 DEXCOM INC 81,600 3,237,000 0.14%
199 BRUKER CORP 131,860 3,200,000 0.14%
200 NATUS MEDICAL INC. 127,132 3,196,000 0.14%
Page 4 of 11

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-14-001627, filed 2014.08.11).

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.