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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 (2015Q4)
Portfolio Summary: 707 holdings with a total value of $4,677,707,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 MAXLINEAR INC COM 584,100 8,604,000 0.18%
102 REALPAGE INC COM 382,800 8,594,000 0.18%
103 CIRRUS LOGIC INC 284,030 8,387,000 0.18%
104 ELLIE MAE INCORPORATED 134,475 8,099,000 0.17%
105 DAVE & BUSTERS ENTMT INC 190,000 7,931,000 0.17%
106 NORTHROP GRUMMAN CORP 40,400 7,628,000 0.16%
107 POST HLDGS INC 121,980 7,526,000 0.16%
108 VERA BRADLEY INC 466,200 7,347,000 0.16%
109 CommVault Systems Inc 185,144 7,285,000 0.16%
110 BOYD GAMING CORP COM 363,850 7,230,000 0.15%
111 ROVI CORP COM EXCHANGEDFOR CU 425,300 7,085,000 0.15%
112 NUVASIVE INC 130,180 7,044,000 0.15%
113 CASEY'S GENERAL STORES INC COM 58,340 7,027,000 0.15%
114 PACIFIC BIOSCIENCES CALIF IN 528,439 6,938,000 0.15%
115 ARMSTRONG WORLD INDS INC NEW COM 150,181 6,868,000 0.15%
116 BERKSHIRE HATHAWAY INC DEL 51,555 6,807,000 0.15%
117 INTEGRATED DEVICE TECHNOLOGY 247,670 6,526,000 0.14%
118 DEPOMED INC 359,230 6,513,000 0.14%
119 GIGAMON INC 240,850 6,399,000 0.14%
120 AMN HEALTHCARE SERVICES INC 203,340 6,314,000 0.13%
121 NUANCE COMM 306,100 6,088,000 0.13%
122 AMAZON COM INC 9,000 6,083,000 0.13%
123 SKYWEST INC 317,920 6,047,000 0.13%
124 ALPHABET INC 7,700 5,843,000 0.12%
125 CINTAS CORP 64,070 5,834,000 0.12%
126 Linear Technology Corp 126,450 5,370,000 0.11%
127 ACTIVISION BLIZZARD INC 136,230 5,273,000 0.11%
128 UNION PAC CORP 65,300 5,106,000 0.11%
129 APPLIED MICRO CIRCUITS ORD 798,800 5,088,000 0.11%
130 L BRANDS INC 51,300 4,916,000 0.11%
131 PHOTRONICS INC 391,700 4,877,000 0.10%
132 SONIC AUTOMOTIVE INC CL A 211,783 4,820,000 0.10%
133 CHANNELADVISOR CORP COM 347,200 4,809,000 0.10%
134 VERISIGN INC 53,670 4,689,000 0.10%
135 WESTERN UN CO 261,000 4,675,000 0.10%
136 NUTRI SYS INC NEW 214,550 4,643,000 0.10%
137 UNITED THERAPEUTICS CORP DEL 29,600 4,636,000 0.10%
138 POWERSECURE INTL INC 304,600 4,584,000 0.10%
139 CIVEO CORP CDA 3,219,130 4,571,000 0.10%
140 CROSS CTRY HEALTHCARE INC COM 276,700 4,535,000 0.10%
141 CUTERA INC COM 347,900 4,450,000 0.10%
142 SYNOPSYS INC 147,900 4,438,000 0.09%
143 Bofi Holding Inc 119,300 4,430,000 0.09%
144 ARDMORE SHIPPING CORP COM 328,000 4,172,000 0.09%
145 ALEXANDER & BALDWIN INC NEW COM 117,521 4,150,000 0.09%
146 USG Corp 169,030 4,106,000 0.09%
147 PARKER HANNIFIN CORP 42,070 4,080,000 0.09%
148 SIGMA DESIGNS INC COM 635,863 4,019,000 0.09%
149 SHORETEL INC 451,800 3,998,000 0.09%
150 NVIDIA CORPORATION 117,800 3,883,000 0.08%
Page 3 of 15

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001082327-16-000030, filed 2016.02.12).

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.