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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 (2016Q2)
Original 13F HR (0001633863-16-000004) filed in 2016.08.15
#
Name
Shares
Value ($)
%
Options
Notes
301 APPLIED MATLS INC 7,457,747 178,762 0.05%
302 VEEVA SYS INC 5,208,958 177,730 0.05%
303 AMETEK INC NEW 3,829,883 177,055 0.05%
304 ENI S P A 5,449,343 176,286 0.05%
305 MONDELEZ INTL INC 3,871,428 176,189 0.05%
306 RAYMOND JAMES FINANC 3,563,086 175,660 0.05%
307 AUTOZONE INC 219,194 174,005 0.04%
308 NEW ORIENTAL ED & TECH GRP I 4,148,025 173,719 0.04%
309 ARISTA NETWORKS 2,686,079 172,930 0.04%
310 ALLERGAN PLC 748,301 172,925 0.04%
311 LINEAR TECHNOLOGY CORP 3,701,379 172,225 0.04%
312 GENERAC HLDGS INC 4,905,573 171,499 0.04%
313 HARRIS CORP 2,055,270 171,492 0.04%
314 CONOCOPHILLIPS 3,930,555 171,372 0.04%
315 PETROLEO BRASILEIRO SA PETRO 23,920,215 171,269 0.04%
316 KATE SPADE & CO 8,289,769 170,852 0.04%
317 IMPERIAL OIL LTD 5,411,119 170,611 0.04%
318 DEPHEID 5,534,325 170,180 0.04%
319 TRIPADVISOR INC 2,644,630 170,050 0.04%
320 MOHAWK INDS INC 890,628 169,006 0.04%
321 OGE ENERGY CORP 5,151,766 168,720 0.04%
322 CBS CORP NEW 3,080,351 167,694 0.04%
323 ALLERGAN PLC 724,828 167,501 0.04%
324 THERAPEUTICSMD INC 19,628,339 166,841 0.04%
325 MICRON TECHNOLOGY INC 12,080,262 166,224 0.04%
326 AMAZON COM INC 232,259 166,209 0.04%
327 BELDEN INC 2,746,952 165,833 0.04%
328 COLGATE PALMOLIVE CO 2,264,662 165,773 0.04%
329 STERICYCLE INC 1,583,905 164,916 0.04%
330 AMAZON COM INC 229,201 164,021 0.04%
331 BAIDU INC 992,857 163,970 0.04%
332 PPG INDS INC 1,568,829 163,394 0.04%
333 PIONEER NAT RES CO 1,076,903 162,839 0.04%
334 WEYERHAEUSER CO 5,381,464 160,206 0.04%
335 FISERV INC 1,472,729 160,130 0.04%
336 CF INDS HLDGS INC 6,599,805 159,055 0.04%
337 MICROSOFT CORP 3,093,727 158,306 0.04%
338 ROBERT HALF INTL INC 4,146,963 158,248 0.04%
339 CARMAX INC 3,224,767 158,110 0.04%
340 LAUDER ESTEE COS INC 1,724,924 157,003 0.04%
341 INTERNATIONAL BUSINESS MACHS 1,030,921 156,473 0.04%
342 COTY INC 5,980,283 155,428 0.04%
343 GATX CORP 3,472,678 152,694 0.04%
344 ANTERO RES CORP 5,846,673 151,897 0.04%
345 EXXON MOBIL CORP 1,618,373 151,706 0.04%
346 NATIONAL INSTRS CORP 5,529,860 151,518 0.04%
347 GLOBUS MED INC 6,350,793 151,339 0.04%
348 ICON PLC 2,157,455 151,043 0.04%
349 HONEYWELL INTL INC 1,295,470 150,689 0.04%
350 CARDTRONICS INC. 3,775,829 150,316 0.04%
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