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Institutional Investment Manager
1832 Asset Management L.P.
1832 Asset Management L.P. (CIK: 0000944388), located at 40 Temperance Street, Toronto. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 691 holdings with a total value of $25,712,002,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 FIVE BELOW INC COM 1,296,400 59,261,000 0.23%
102 NETEASE INC 303,990 59,125,000 0.23%
103 BROADCOM LTD 385,600 59,027,000 0.23%
104 INTUITIVE SURGICAL INC 89,800 58,506,000 0.23%
105 CHECK POINT SOFTWARE TECH LT 728,015 58,245,000 0.23%
106 ELLIE MAE INCORPORATED 642,200 58,004,000 0.23%
107 DOLLAR TREE INC 595,355 56,280,000 0.22%
108 LIGAND PHARMACEUTICALS INC 469,700 55,211,000 0.21%
109 ROLLINS INC 1,851,600 54,555,000 0.21%
110 ISHARES 7-10 YEAR TREASURY BOND ETF 467,215 53,130,000 0.21%
111 PROGRESSIVE CORP OHIO 1,558,504 52,442,000 0.20%
112 ADOBE INC 551,300 52,022,000 0.20%
113 PRECISION DRILLING CORP 9,569,742 50,734,000 0.20%
114 STARBUCKS CORP 876,615 50,247,000 0.20%
115 SYNCHRONY FINL 1,947,263 49,380,000 0.19%
116 OPEN TEXT CORP 831,581 49,155,000 0.19%
117 THERMO FISHER SCIENTIFIC INC 328,996 48,933,000 0.19%
118 BIOGEN INC 199,000 48,440,000 0.19%
119 ANTHEM INC 366,300 48,177,000 0.19%
120 ISHARES TR 1,172,020 47,519,000 0.18%
121 WEIBO CORP 1,658,100 47,418,000 0.18%
122 GOLDCORP INC NEW 2,367,315 45,293,000 0.18%
123 MORGAN STANLEY 1,716,364 44,886,000 0.17%
124 RANDGOLD RES LTD 397,000 44,696,000 0.17%
125 SERVICENOW INC 652,800 42,700,000 0.17%
126 VEEVA SYS INC 1,266,900 42,615,000 0.17%
127 ECOLAB INC 342,155 40,823,000 0.16%
128 CONSTELLATION BRANDS INC 243,885 40,571,000 0.16%
129 EOG RES INC 487,004 40,541,000 0.16%
130 ISHARES TR 269,570 40,346,000 0.16%
131 CRITEO SA 870,100 40,219,000 0.16%
132 VIASAT INC 558,993 40,176,000 0.16%
133 PIONEER NAT RES CO 264,263 39,910,000 0.16%
134 ISHARES MSCI EAFE SMALL CAP IDX FD 807,600 39,047,000 0.15%
135 STANLEY BLACK &DECKER INC 349,621 38,991,000 0.15%
136 CAPITAL ONE FINL CORP 610,995 38,986,000 0.15%
137 CTRIP COM INTL LTD 939,700 38,972,000 0.15%
138 CINEMARK HOLDINGS INC 1,064,534 38,912,000 0.15%
139 UNITED PARCEL SERVICE INC 358,135 38,833,000 0.15%
140 MASTERCARD INCORPORATED 439,266 38,793,000 0.15%
141 VANGUARD INDEX FDS 424,996 37,841,000 0.15%
142 GENERAL GROWTH PPTYS INC NEW 1,259,900 37,819,000 0.15%
143 NOVARTIS A G 447,065 37,083,000 0.14%
144 WALGREENS BOOTS ALLIANCE INC 442,915 36,947,000 0.14%
145 SPLUNK 687,000 36,665,000 0.14%
146 ASANKO GOLD INC 9,500,000 36,147,000 0.14%
147 TAL EDUCATION GROUP 569,200 35,558,000 0.14%
148 RYDER SYS INC COM 574,548 35,271,000 0.14%
149 CISCO SYS INC 1,220,394 35,084,000 0.14%
150 NIELSEN HLDGS PLC 669,100 34,863,000 0.14%
Page 3 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Restatement filing (0001062993-16-011070, filed 2016.08.12).

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.