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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 (2016Q2)
Original 13F HR (0001034549-16-000010) filed in 2016.08.12
#
Name
Shares
Value ($)
%
Options
Notes
651 SUN CMNTYS INC 9,800 751,072 0.13%
652 HELMERICH & PAYNE INC 11,200 751,856 0.13%
653 AES CORP 60,772 758,435 0.13%
654 MCKESSON CORP 4,068 759,292 0.13%
655 FTI CONSULTING INC 18,700 760,716 0.13%
656 ONE GAS INC COM 11,464 763,388 0.13%
657 BOSTON PROPERTIES INC 5,810 766,339 0.13%
658 COCA COLA CO 17,164 778,044 0.14%
659 EXLSERVICE HOLDINGS INC COM 14,900 780,909 0.14%
660 TAKE-TWO INTERACTIVE SOFTWAR 20,900 792,528 0.14%
661 TESORO CORP 10,592 793,553 0.14%
662 Invacare Corp 19,400 795,206 0.14%
663 DUPONT FABROS TECHNOLOGY INC 17,700 841,458 0.15%
664 NORTHROP GRUMMAN CORP 3,951 878,228 0.15%
665 OMNICOM GROUP INC 11,050 900,465 0.16%
666 BALCHEM CORP 15,200 906,680 0.16%
667 CUBESMART 29,800 920,224 0.16%
668 DISCOVERY COMMUNICATNS NEW 38,600 920,610 0.16%
669 MONOLITHIC PWR SYS INC 13,500 922,320 0.16%
670 CANTEL MEDICAL CORP 13,900 955,347 0.17%
671 DIPLOMAT PHARMACY INC COM 27,800 973,000 0.17%
672 VONAGE HLDGS CORP 168,550 1,028,155 0.18%
673 SUNTRUST BKS INC 26,300 1,080,404 0.19%
674 SHENANDOAH TELECOMM CO CDT COM 28,050 1,095,633 0.19%
675 Abaxis Inc 23,350 1,102,821 0.19%
676 BLACKBAUD INC 16,250 1,103,375 0.19%
677 COHERENT INC 12,150 1,115,127 0.19%
678 ENTERPRISE PRODS PARTNERS L 38,822 1,135,932 0.20%
679 A O SMITH 13,053 1,150,100 0.20%
680 HCA HOLDINGS INC 15,050 1,159,001 0.20%
681 BARD C R INC 4,998 1,175,330 0.20%
682 CARDINAL HEALTH INC 15,225 1,187,702 0.21%
683 WESTERN UN CO 62,900 1,206,422 0.21%
684 ZOETIS INC 26,073 1,237,425 0.22%
685 KEYCORP 116,091 1,282,806 0.22%
686 EQUINIX INC 3,362 1,303,548 0.23%
687 UNUM GROUP 44,044 1,400,159 0.24%
688 Corrections Cp Amer Ne 41,700 1,460,334 0.25%
689 FACEBOOK INC 13,097 1,496,725 0.26%
690 DIGITAL RLTY TR INC 13,857 1,510,274 0.26%
691 STARBUCKS CORP 29,644 1,693,265 0.29%
692 MAXIM INTEGR 51,097 1,823,652 0.32%
693 DOLLAR GEN CORP NEW 19,403 1,823,882 0.32%
694 RANGE RES CORP 48,171 2,078,097 0.36%
695 PNC FINL SVCS GROUP INC 27,200 2,213,808 0.39%
696 PRICE T ROWE GROUP INC 33,628 2,453,835 0.43%
697 DISNEY WALT CO 28,334 2,771,632 0.48%
698 ENTERGY CORP NEW 34,221 2,783,878 0.48%
699 ISHARES TR 29,600 2,970,656 0.52%
700 VISA INC 42,218 3,131,309 0.55%
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