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Institutional Investment Manager
FULLER & THALER ASSET MANAGEMENT, INC.
FULLER & THALER ASSET MANAGEMENT, INC. (CIK: 0001082327) incorporated in California, located at 411 Borel Avenue, Suite 300, San Mateo, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 668 holdings with a total value of $3,538,887,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 SIGMA DESIGNS INC COM 604,713 7,214,000 0.20%
102 AMBARELLA INC 67,340 6,915,000 0.20%
103 CIRRUS LOGIC INC 196,130 6,674,000 0.19%
104 POST HLDGS INC 122,980 6,632,000 0.19%
105 HEADWATERS INC COM 358,566 6,533,000 0.18%
106 AMN HEALTHCARE SERVICES INC 204,940 6,474,000 0.18%
107 RENTRAK CORP 89,950 6,279,000 0.18%
108 INFOBLOX INC 238,670 6,256,000 0.18%
109 NUVASIVE INC 131,357 6,224,000 0.18%
110 APPLIED MICRO CIRCUITS ORD 877,700 5,924,000 0.17%
111 CIVEO CORP CDA 1,916,894 5,885,000 0.17%
112 SANOFI SPOND FUNSPONSORED ADR 472,000 5,836,000 0.16%
113 NORTHROP GRUMMAN CORP 36,750 5,830,000 0.16%
114 HEALTHSOUTH CORP 125,855 5,797,000 0.16%
115 SYNOPSYS INC 149,957 5,695,000 0.16%
116 HELEN OF TROY CORP LTD 58,140 5,668,000 0.16%
117 INTERFACE INC COM 223,150 5,590,000 0.16%
118 AON PLC 55,500 5,532,000 0.16%
119 CASEY'S GENERAL STORES INC COM 57,440 5,499,000 0.16%
120 INTEGRATED DEVICE TECHNOLOGY 252,489 5,479,000 0.15%
121 AFFYMETRIX INCOC-CAP STK CASH MGREFF 4/1/16 1 OLDUSD 14.00 PER SHARE 494,588 5,401,000 0.15%
122 NUANCE COMM 308,200 5,397,000 0.15%
123 NUTRI SYS INC NEW 216,158 5,378,000 0.15%
124 EXPRESS INC COM 296,100 5,362,000 0.15%
125 ATLAS AIR WORLDWIDE HLDGS IN 97,265 5,346,000 0.15%
126 CUTERA INC COM 341,200 5,282,000 0.15%
127 BOYD GAMING CORP COM 350,750 5,244,000 0.15%
128 JPMORGAN CHASE & CO 77,300 5,238,000 0.15%
129 ICU MED INC 54,735 5,236,000 0.15%
130 SELECT COMFORT CORP 173,320 5,212,000 0.15%
131 CROCS INC 340,030 5,002,000 0.14%
132 ISLE OF CAPRI CASINOS INC COM 268,500 4,873,000 0.14%
133 SKYWEST INC 320,220 4,816,000 0.14%
134 BROADSOFT INC 136,790 4,729,000 0.13%
135 ELECTRONIC ARTS INC 69,100 4,595,000 0.13%
136 REALD INC 366,900 4,524,000 0.13%
137 BJS RESTAURANTS INC COM 92,270 4,470,000 0.13%
138 VIASAT INC 73,300 4,417,000 0.12%
139 TYLER TECHNOLOGIES INC 34,000 4,399,000 0.12%
140 VERISIGN INC 71,100 4,388,000 0.12%
141 WESTERN UN CO 214,500 4,361,000 0.12%
142 Progenics Pharmaceuticals Inc 578,300 4,314,000 0.12%
143 EHEALTH INC COM 339,741 4,311,000 0.12%
144 CIT GROUP INC 92,200 4,286,000 0.12%
145 POWERSECURE INTL INC 289,800 4,277,000 0.12%
146 ITT Corp 97,050 4,061,000 0.11%
147 FACEBOOK INC 47,100 4,040,000 0.11%
148 DICKS SPORTING GOODS INC 77,500 4,012,000 0.11%
149 JUNIPER NETWORKS 152,800 3,968,000 0.11%
150 AKAMAI TECHNOLOGIES INC 56,700 3,959,000 0.11%
Page 3 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001082327-15-000012, filed 2015.08.17).

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.