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Institutional Investment Manager
EMERALD ADVISERS, LLC
EMERALD ADVISERS, LLC (CIK: 0001015083) incorporated in Pennsylvania, located at 3175 Oregon Pike, Leola, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Portfolio Summary: 356 holdings with a total value of $1,778,310,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 JAZZ PHARMACEUTICALS PLC 6,970 967,000 0.05%
252 CITIZENS NORTHN CORP 48,995 966,000 0.05%
253 Patterson UTI Energy Inc Com 29,984 950,000 0.05%
254 RITE AID CORP 151,556 950,000 0.05%
255 GOLDMAN SACHS GROUP INC 5,790 949,000 0.05%
256 FULTON FINL CORP PA 74,618 939,000 0.05%
257 GENERAL ELECTRIC CO 33,993 880,000 0.05%
258 JOHNSON & JOHNSON 8,928 877,000 0.05%
259 BANK AMER CORP 50,256 864,000 0.05%
260 TESLA INC 4,133 862,000 0.05%
261 Santander Consumer USA Holdings Inc 35,675 859,000 0.05%
262 COCA COLA CO 22,161 857,000 0.05%
263 PFIZER INC 26,175 841,000 0.05%
264 DECKERS OUTDOOR CORP 10,489 836,000 0.05%
265 CONOCOPHILLIPS 11,697 823,000 0.05%
266 CHICOS FAS INC 49,967 801,000 0.05%
267 PROCTER AND GAMBLE CO 9,785 789,000 0.04%
268 ORACLE CORP 19,253 788,000 0.04%
269 ATMEL CORP 90,038 753,000 0.04%
270 SCHLUMBERGER LTD 7,632 744,000 0.04%
271 DOLLAR TREE INC 14,161 739,000 0.04%
272 INTEL CORP 27,564 712,000 0.04%
273 A O SMITH 15,248 702,000 0.04%
274 PHILIP MORRIS INTL INC 8,408 688,000 0.04%
275 CODORUS VY BANCORP INC 32,567 684,000 0.04%
276 Q2 Holdings Inc 39,840 619,000 0.03%
277 CISCO SYS INC 26,259 589,000 0.03%
278 REPUBLIC FIRST BANCORP INC 152,210 586,000 0.03%
279 COMCAST CORP NEW 11,595 580,000 0.03%
280 QUALCOMM INC 6,999 552,000 0.03%
281 DISNEY WALT CO 6,900 552,000 0.03%
282 UNITEDHEALTH GROUP INC 6,203 509,000 0.03%
283 BIND THERAPEUTICS INC 42,123 504,000 0.03%
284 OCCIDENTAL PETE CORP DEL 5,206 496,000 0.03%
285 AMERICAN INTL GROUP INC 9,781 489,000 0.03%
286 CCFNB BANCORP INC COM 13,871 489,000 0.03%
287 PEPSICO INC 5,783 483,000 0.03%
288 NETFLIX INC 1,349 475,000 0.03%
289 CVS HEALTH CORP 6,267 469,000 0.03%
290 Liberty Media Ser A 3,583 468,000 0.03%
291 MCDONALDS CORP 4,728 463,000 0.03%
292 UNITED TECHNOLOGIES CORP 3,859 451,000 0.03%
293 HOME DEPOT INC 5,524 437,000 0.02%
294 DISCOVER FINL SVCS 7,336 427,000 0.02%
295 ENVIRONMENTAL TECTONICS CORP COM 211,585 425,000 0.02%
296 US BANCORP DEL 9,916 425,000 0.02%
297 AMERICAN EXPRESS CO 4,449 401,000 0.02%
298 Hewlett Packard Co 12,078 391,000 0.02%
299 VISA INC 1,800 389,000 0.02%
300 STARBUCKS CORP 5,269 387,000 0.02%
Page 6 of 8

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001144204-14-026135, filed 2014.04.30).

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.