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Institutional Investment Manager
PARADIGM ASSET MANAGEMENT CO LLC
PARADIGM ASSET MANAGEMENT CO LLC (CIK: 0001034549) incorporated in Delaware, located at 445 Hamilton Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001034549-15-000004) filed in 2015.08.13
#
Name
Shares
Value ($)
%
Options
Notes
701 MURPHY OIL CORP 80,210 3,334,330 0.37%
702 AGIOS PHARMACEUTICALS INC COM 30,400 3,378,656 0.38%
703 PHILIP MORRIS INTL INC 43,100 3,455,327 0.38%
704 THORATEC LABS CORP 80,200 3,574,514 0.40%
705 AKORN INCORPORATED 82,340 3,594,964 0.40%
706 TEAM HEALTH HOLDINGS INC 56,700 3,704,211 0.41%
707 MOLINA HEALTHCARE INC 52,700 3,704,810 0.41%
708 CLOVIS ONCOLOGY INC 42,800 3,761,264 0.42%
709 FEI COMPANY 46,200 3,831,366 0.43%
710 NEUROCRINE BIOSCIENCES INC 80,700 3,854,232 0.43%
711 ULTRAGENYX PHARMACEUTICAL INC COM 40,900 4,187,751 0.47%
712 L-3 Communications Holdings 37,400 4,240,412 0.47%
713 Receptos Inc 22,400 4,257,120 0.47%
714 MCDONALDS CORP 45,250 4,301,918 0.48%
715 PINNACLE WEST 76,100 4,329,329 0.48%
716 SOUTHWEST AIRLS CO 132,100 4,371,189 0.49%
717 VERIZON COMMUNICATIONS INC 94,350 4,397,654 0.49%
718 BLUEBIRD BIO INC 26,700 4,495,479 0.50%
719 KELLOGG CO 73,150 4,586,505 0.51%
720 KLA-TENCOR CORP 85,200 4,789,092 0.53%
721 BAXTER INTL INC 68,750 4,807,688 0.53%
722 IRON MTN INC NEW 155,200 4,811,200 0.54%
723 BRISTOL MYERS SQUIBB CO 72,700 4,837,458 0.54%
724 EMERSON ELEC CO 90,100 4,994,243 0.56%
725 AMGEN INC 33,000 5,066,160 0.56%
726 EQT CORP 64,000 5,205,760 0.58%
727 DEXCOM INC 65,200 5,214,696 0.58%
728 DU PONT E I DE NEMOURS & CO 81,800 5,231,110 0.58%
729 DYAX CORP COM CVR 198,250 5,253,625 0.58%
730 NEWELL BRANDS INC 128,150 5,268,247 0.59%
731 BED BATH & BEYOND INC 76,900 5,304,562 0.59%
732 AMEREN CORP 142,400 5,365,632 0.60%
733 3M CO 35,250 5,439,075 0.61%
734 COSTCO WHSL CORP NEW 40,400 5,456,424 0.61%
735 CULLEN FROST BANKERS INC 69,830 5,487,241 0.61%
736 LAM RESEARCH CORP 67,900 5,523,665 0.61%
737 AES CORP 423,100 5,610,306 0.62%
738 PUBLIC STORAGE 30,800 5,678,596 0.63%
739 Energizer Holding Inc 43,250 5,689,538 0.63%
740 FLUOR CORP NEW 107,500 5,698,575 0.63%
741 FRANKLIN RESOURCES INC 116,600 5,716,898 0.64%
742 SIMON PPTY GROUP INC NEW 33,100 5,726,962 0.64%
743 APPLE INC 46,200 5,794,635 0.64%
744 EOG RES INC 66,200 5,795,810 0.64%
745 REPUBLIC SVCS INC 149,400 5,851,998 0.65%
746 NATIONAL BANK 281,100 5,855,313 0.65%
747 CLOROX CO DEL 56,730 5,901,055 0.66%
748 ALTRIA GROUP INC 121,700 5,952,347 0.66%
749 ASSURANT INC 89,800 6,016,600 0.67%
750 HUNTINGTON BANCSHARES INC 532,000 6,016,920 0.67%
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