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Institutional Investment Manager
WELLINGTON MANAGEMENT GROUP LLP
WELLINGTON MANAGEMENT GROUP LLP (CIK: 0000902219) incorporated in Massachusetts, located at C/O Wellington Management Company Llp, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0000902219-15-000565) filed in 2015.08.14
#
Name
Shares
Value ($)
%
Options
Notes
351 CONOCOPHILLIPS 2,482,761 152,466 0.04%
352 KIMBERLY CLARK CORP 1,438,229 152,409 0.04%
353 ALLERGAN PLC 499,022 151,433 0.04%
354 MGIC INVT CORP WIS 13,282,320 151,153 0.04%
355 BRF SA 7,209,335 150,747 0.04%
356 SHUTTERSTOCK INC COM 2,554,710 149,808 0.04%
357 MOODYS CORP 1,382,721 149,279 0.04%
358 NIMBLE STORAGE INC 5,279,831 148,152 0.04%
359 TRANSDIGM GROUP INC 654,014 146,937 0.04%
360 ALLERGAN PLC 483,833 146,824 0.04%
361 FIRST SOLAR INC 3,105,676 145,905 0.04%
362 GATX CORP 2,730,149 145,107 0.04%
363 APPLE INC 1,152,442 144,545 0.04%
364 MERCK & CO INC 2,538,576 144,521 0.04%
365 TYLER TECHNOLOGIES INC 1,112,715 143,963 0.04%
366 AMPHENOL CORP NEW 2,476,203 143,545 0.04%
367 HEADWATERS INC 7,846,568 142,964 0.04%
368 McGraw Hill Group Inc 1,420,208 142,660 0.04%
369 UNITED CONTL HLDGS INC 2,681,024 142,121 0.04%
370 CIENA CORP 5,995,320 141,969 0.04%
371 WESCO INTL INC 2,062,553 141,574 0.04%
372 UBS GROUP AG 6,669,122 141,510 0.04%
373 MERCK & CO INC 2,459,354 140,011 0.04%
374 ISHARES TR 1,118,248 139,624 0.04%
375 AMAZON COM INC 321,262 139,457 0.04%
376 PIONEER NAT RES CO 1,005,404 139,439 0.04%
377 THERAPEUTICSMD INC 17,718,379 139,266 0.04%
378 VARIAN MED SYS INC 1,637,043 138,052 0.04%
379 TREEHOUSE FOODS INC 1,703,190 138,009 0.04%
380 TRIPADVISOR INC 1,574,719 137,221 0.04%
381 JAZZ PHARMACEUTICALS PLC 778,678 137,102 0.04%
382 GENESEE AND WYOMING INC INC CL A 1,798,606 137,018 0.04%
383 COGNEX CORP 2,841,421 136,672 0.04%
384 PEBBLEBROOK HOTEL TR 3,182,820 136,479 0.04%
385 ICON PLC 2,001,168 134,679 0.03%
386 GLOBUS MED INC 5,220,583 134,012 0.03%
387 IHS Markit Ltd. 1,037,897 133,505 0.03%
388 CHEVRON CORP NEW 1,382,666 133,386 0.03%
389 COMMUNITY HEALTH SYS INC NEW 2,097,879 132,103 0.03%
390 RALPH LAUREN CORP 996,808 131,938 0.03%
391 KANSAS CITY SOUTHERN 1,445,193 131,802 0.03%
392 NATIONAL INSTRS CORP 4,469,925 131,684 0.03%
393 VERISIGN 2,123,621 131,070 0.03%
394 PROTHENA CORP PLC 2,460,421 129,590 0.03%
395 EVERBANK FINL CORP 6,533,528 128,384 0.03%
396 ALLERGAN PLC 419,465 127,291 0.03%
397 MEDIVATION INC 1,113,429 127,154 0.03%
398 GOOGLE INC 243,348 126,665 0.03%
399 TRIMBLE INC 5,326,634 124,963 0.03%
400 ARENA PHARMACEUTICALS INC 26,926,854 124,941 0.03%
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