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Institutional Investment Manager
MCKINLEY CAPITAL MANAGEMENT LLC
MCKINLEY CAPITAL MANAGEMENT LLC (CIK: 0000915287) incorporated in Delaware, located at 3301 C St Ste 500, Anchorage, AK. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 345 holdings with a total value of $2,438,459,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 DOT HILL SYS CORP 759,536 3,570,000 0.15%
202 NEVSUN RES LTD 963,706 3,614,000 0.15%
203 Laredo Petroleum Inc 116,752 3,617,000 0.15%
204 WNS HOLDINGS LTD 196,227 3,764,000 0.15%
205 MAGICJACK VOCALTEC LTD 256,049 3,871,000 0.16%
206 GRAND CANYON ED INC 84,777 3,897,000 0.16%
207 AMERICAN WTR WKS CO INC NEW 79,090 3,911,000 0.16%
208 ALON USA PARTNERS LP 218,903 3,925,000 0.16%
209 VISHAY INTERTECHNOLOGY INC 255,053 3,951,000 0.16%
210 DYNEX CAP INC 450,075 3,983,000 0.16%
211 US Ecology Inc 85,641 4,192,000 0.17%
212 SONIC CORP 189,845 4,192,000 0.17%
213 PDL BIOPHARMA INC 450,047 4,356,000 0.18%
214 PFIZER INC 149,012 4,423,000 0.18%
215 LANNET INC COM NEW 91,083 4,520,000 0.19%
216 ORACLE CORP 112,806 4,572,000 0.19%
217 TRUSTCO BANK CM 691,443 4,619,000 0.19%
218 NOVAVAX INC COM 1,003,855 4,638,000 0.19%
219 SANMINA CORPORATION COM 203,864 4,644,000 0.19%
220 AKORN INCORPORATED 142,916 4,752,000 0.19%
221 ALASKA AIR GROUP INC 50,463 4,797,000 0.20%
222 STARWOOD PPTY TR INC COM 209,609 4,982,000 0.20%
223 FLOWSERVE CORP 68,420 5,087,000 0.21%
224 CKEC 2017-01-20 33.000 C A OPQ 145,078 5,097,000 0.21%
225 CHICAGO BRIDGE & IRON CO N V 74,934 5,110,000 0.21%
226 GLOBUS MED INC 218,884 5,236,000 0.21%
227 VISTEON CORP COM NEW 54,631 5,300,000 0.22%
228 VERMILION ENERGY INC 71,600 5,316,000 0.22%
229 TASER INTL INC 401,784 5,344,000 0.22%
230 DEPOMED INC 391,904 5,447,000 0.22%
231 CHEVRON CORP NEW 41,887 5,468,000 0.22%
232 AMETEK INC NEW 105,948 5,539,000 0.23%
233 REX AMERICAN RES CORP COM 75,566 5,540,000 0.23%
234 PRUDENTIAL FINL INC 63,141 5,605,000 0.23%
235 ALLIANT TECHSYSTEM 42,300 5,665,000 0.23%
236 REPLIGEN CORP COM 249,076 5,676,000 0.23%
237 FERRO CORP 453,063 5,690,000 0.23%
238 COMMSCOPE HLDG COMPANY INCORPORATED 249,005 5,759,000 0.24%
239 CVB FINL CORP COM 365,924 5,866,000 0.24%
240 COCA COLA CO 138,500 5,867,000 0.24%
241 NAUTILUS INC 529,140 5,868,000 0.24%
242 ENCANA CORP 250,178 5,932,000 0.24%
243 EASTMAN CHEM CO 68,285 5,965,000 0.24%
244 BROADRIDGE FINL SOLUTIONS IN 143,613 5,980,000 0.25%
245 EXELIS INC 354,982 6,028,000 0.25%
246 UNITED INS HLDGS CORP 358,954 6,196,000 0.25%
247 Wuxi Pharmatech Inc ADR 188,752 6,202,000 0.25%
248 JOHNSON & JOHNSON 60,460 6,325,000 0.26%
249 CELGENE CORP 75,324 6,469,000 0.27%
250 RITE AID CORP 926,090 6,640,000 0.27%
Page 5 of 7

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000915287-14-000007, filed 2014.08.13).

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.