Dark
Light
System
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 (2016Q1)
Original 13F HR (0001034549-16-000009) filed in 2016.05.12
#
Name
Shares
Value ($)
%
Options
Notes
601 ATRICURE INC 35,650 599,990 0.11%
602 LIGAND PHARMACEUTICALS 5,653 605,380 0.11%
603 JUNIPER NETWORKS INC 23,800 607,138 0.11%
604 HARRIS CORP DEL 7,800 607,308 0.11%
605 IMPAX LABORATORIES INC 19,000 608,380 0.11%
606 SHENANDOAH TELECOMMUNICATION 22,800 609,900 0.11%
607 BLOCK H & R INC 23,100 610,302 0.11%
608 PEOPLE S UNITED FINANCIAL 38,400 611,712 0.11%
609 Zumiez Inc 30,850 614,532 0.11%
610 MERCK & CO INC 11,700 619,047 0.12%
611 AMERICAN FINL GROUP INC OHIO 8,800 619,256 0.12%
612 NEUSTAR INC CL A 30,600 622,098 0.12%
613 LAUDER ESTEE COS INC 6,600 622,446 0.12%
614 SVB FINANCIAL GROUP 6,100 622,505 0.12%
615 LEAR CORP COM NEW 5,600 622,552 0.12%
616 ERIE INDTY CO 6,700 623,033 0.12%
617 CROWN HOLDINGS INC 12,600 624,834 0.12%
618 ENERGIZER HOLDINGS INC 15,450 625,880 0.12%
619 GALLAGHER ARTHUR J & CO 14,100 627,168 0.12%
620 NRG ENERGY INC 48,300 628,383 0.12%
621 ADOBE SYS INC 6,700 628,460 0.12%
622 MCKESSON CORP 4,000 629,000 0.12%
623 AMGEN INC 4,200 629,706 0.12%
624 GENERAL DYNAMICS CORP 4,800 630,576 0.12%
625 NASDAQ INC COM 9,500 630,610 0.12%
626 INVESTORS BANCORP INC NEW 54,400 633,216 0.12%
627 WEIGHT WATCHERS INTL INC NEW 43,700 634,961 0.12%
628 MEDICINES CO 20,000 635,400 0.12%
629 COCA COLA CO 13,700 635,543 0.12%
630 MOODYS CORP 6,600 637,296 0.12%
631 BLACK HILLS CORP 10,600 637,378 0.12%
632 COACH INC COM 15,900 637,431 0.12%
633 NEWELL BRANDS INC 14,400 637,776 0.12%
634 Texas Roadhouse, Inc. 14,657 638,752 0.12%
635 DUN & BRADSTREET CORP 6,200 639,096 0.12%
636 JETBLUE AIRWAYS CORP 30,300 639,936 0.12%
637 RAYONIER INC 26,000 641,680 0.12%
638 LIBERTY PROPERTY TRUST 19,200 642,432 0.12%
639 WGL HOLDINGS INC 8,900 644,093 0.12%
640 INTEGRATED DEVICE TECH INC 31,600 645,904 0.12%
641 BankUnited, Inc. 18,800 647,472 0.12%
642 AFFILIATED MANAGERS GROUP 4,000 649,600 0.12%
643 Textura Corp 34,900 650,187 0.12%
644 EQUIFAX INC 5,700 651,453 0.12%
645 ALLSCRIPTS HEALTHCARE SOLUTI 49,500 653,895 0.12%
646 Kennedy-Wilson Holdings Inc 30,000 657,000 0.12%
647 ZENDESK INC 31,400 657,202 0.12%
648 BANK OF HAWAII CORP 9,700 662,316 0.12%
649 XPO LOGISTICS INC 21,600 663,120 0.12%
650 PAYCHEX INC 12,500 675,125 0.13%
Page 13 of 16