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Institutional Investment Manager
RS INVESTMENT MANAGEMENT CO LLC
RS INVESTMENT MANAGEMENT CO LLC (CIK: 0001085256), located at One Bush Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 376 holdings with a total value of $10,114,527,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 UNITED NATURAL FOODSINC 925,736 37,307,000 0.37%
102 MAGELLAN HEALTH INC COM NEW 542,932 36,881,000 0.36%
103 HASBRO INC 458,957 36,762,000 0.36%
104 ATRICURE INC 2,183,697 36,752,000 0.36%
105 WELLS FARGO & CO NEW 757,809 36,648,000 0.36%
106 MARKETAXESS HLDGS INC 289,917 36,190,000 0.36%
107 GODADDY INC 1,095,657 35,423,000 0.35%
108 XL Group plc 952,570 35,055,000 0.35%
109 ACADIA COMPANY COM 628,089 34,614,000 0.34%
110 GENERAL ELECTRIC CO 1,088,026 34,588,000 0.34%
111 DIAMONDBACK ENERGY INC 440,911 34,030,000 0.34%
112 BRISTOL MYERS SQUIBB CO 526,000 33,601,000 0.33%
113 GENPACT LIMITED 1,228,584 33,405,000 0.33%
114 SPIRIT AIRLS INC 690,639 33,137,000 0.33%
115 PREMIER INC CL A 992,492 33,110,000 0.33%
116 FTD GROUP INC 1,228,547 32,249,000 0.32%
117 BLOCK H & R INC 1,220,481 32,245,000 0.32%
118 HOLOGIC INC 924,598 31,899,000 0.32%
119 FIVE BELOW INC 750,519 31,026,000 0.31%
120 OLLIES BARGAIN OUTLET HLDGS IN COM 1,321,450 30,962,000 0.31%
121 ENERGEN CORP COM 821,083 30,043,000 0.30%
122 APOGEE ENTERPRISES INC COM 683,153 29,984,000 0.30%
123 CHUBB LIMITED 250,680 29,869,000 0.30%
124 AMICUS THERAPEUTICS INC COM 3,527,703 29,809,000 0.29%
125 TREEHOUSE FOODS INC 342,330 29,697,000 0.29%
126 COMERICA INC 776,415 29,403,000 0.29%
127 AMTRUST FINL SVCS INC 1,130,811 29,265,000 0.29%
128 Wingstop Inc 1,282,203 29,080,000 0.29%
129 UNITEDHEALTH GROUP INC 225,100 29,015,000 0.29%
130 MACK-CALI REALTY CORP COM 1,213,641 28,521,000 0.28%
131 UNIVERSAL HLTH SVCS INC 227,613 28,388,000 0.28%
132 LYONDELLBASELL INDUSTRIES N 324,276 27,752,000 0.27%
133 COMSCORE INC 919,486 27,621,000 0.27%
134 PAYCOM SOFTWARE INC 768,668 27,365,000 0.27%
135 AVISTA CORP 668,100 27,245,000 0.27%
136 NORTHWESTERN ENERGY GROUP INC COM NEW 440,270 27,187,000 0.27%
137 ULTRAGENYX PHARMACEUTICAL INC COM 410,548 25,992,000 0.26%
138 PNC FINL SVCS GROUP INC 299,259 25,308,000 0.25%
139 ClubCorp Hldgs Inc 1,795,288 25,206,000 0.25%
140 BRANDYWINE RLTY TR 1,794,667 25,179,000 0.25%
141 HANCOCK WHITNEY CORPORATION 1,078,560 24,764,000 0.24%
142 ARES COML REAL ESTATE CORP COM 2,259,998 24,747,000 0.24%
143 TORCHMARK CORP COM 456,765 24,738,000 0.24%
144 INTERXION HOLDING N.V 712,030 24,622,000 0.24%
145 FIVE PRIME THERAPEUTICS INC 594,550 24,157,000 0.24%
146 FACEBOOK INC 211,573 24,140,000 0.24%
147 HORIZON PHARMA PLC 1,453,024 24,077,000 0.24%
148 EDISON INTL 334,520 24,049,000 0.24%
149 VANTIV INC 445,643 24,011,000 0.24%
150 TRANSUNION 860,209 23,750,000 0.23%
Page 3 of 8

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-016539, filed 2016.05.11).

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.