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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 (2016Q2)
Portfolio Summary: 382 holdings with a total value of $9,729,048,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 WELLCARE HEALTH PLANS INC COM 321,285 34,467,000 0.35%
102 GENERAL ELECTRIC CO 1,090,981 34,344,000 0.35%
103 HASBRO INC 407,018 34,185,000 0.35%
104 UNITEDHEALTH GROUP INC 239,810 33,861,000 0.35%
105 LUMENTUM HLDGS INC 1,395,702 33,776,000 0.35%
106 TREEHOUSE FOODS INC 327,090 33,576,000 0.35%
107 DIAMONDBACK ENERGY 366,158 33,397,000 0.34%
108 IRON MTN INC NEW 830,734 33,088,000 0.34%
109 APOGEE ENTERPRISES INC COM 692,137 32,081,000 0.33%
110 BALL CORP 441,617 31,924,000 0.33%
111 WENDYS CO 3,276,030 31,515,000 0.32%
112 FIRST AMERN FINL CORP 779,424 31,348,000 0.32%
113 GRAND CANYON ED INC 771,084 30,782,000 0.32%
114 Sovran Self Storage, Inc. 292,195 30,657,000 0.32%
115 FORTUNE BRANDS INNOV 522,743 30,303,000 0.31%
116 MADDEN STEVEN LTD COM 872,660 29,828,000 0.31%
117 WESTERN ALLIANCE BANCORP COM 907,943 29,644,000 0.30%
118 AVISTA CORP COM 657,670 29,464,000 0.30%
119 ULTA BEAUTY INC 120,458 29,348,000 0.30%
120 LITHIA MTRS INC COM 412,553 29,320,000 0.30%
121 MARKETAXESS HLDGS INC 200,478 29,150,000 0.30%
122 TORCHMARK CORP 471,240 29,132,000 0.30%
123 MAGELLAN HEALTH INC COM NEW 440,306 28,959,000 0.30%
124 ZELTIQ AESTHETICS INCORPORATED 1,056,821 28,883,000 0.30%
125 ATRICURE INC 2,027,852 28,654,000 0.29%
126 WABTEC 406,796 28,569,000 0.29%
127 BRANDYWINE RLTY TR SH BEN INT NEW 1,700,007 28,560,000 0.29%
128 SEI INVESTMENTS CO 590,598 28,414,000 0.29%
129 MACK CALI RLTY CORP 1,048,325 28,305,000 0.29%
130 PRIVATEBANCORP INC 641,502 28,245,000 0.29%
131 SYNOPSYS INC 519,330 28,085,000 0.29%
132 DAVE & BUSTERS ENTMT INC COM 599,832 28,066,000 0.29%
133 PFIZER INC 793,005 27,922,000 0.29%
134 WNS HLDGS LTD 1,029,418 27,794,000 0.29%
135 NORTHWESTERN ENERGY GROUP INC COM NEW 427,000 26,931,000 0.28%
136 BRISTOL MYERS SQUIBB CO 366,010 26,920,000 0.28%
137 WEX INC 300,500 26,645,000 0.27%
138 EDISON INTL 337,250 26,194,000 0.27%
139 CAVIUM INC 658,444 25,416,000 0.26%
140 ARES COML REAL ESTATE CORP COM 2,059,199 25,308,000 0.26%
141 CASEY'S GENERAL STORES INC COM 192,160 25,271,000 0.26%
142 BLUEBIRD BIO INCORPORATED 575,093 24,896,000 0.26%
143 WINGSTOP INC 912,837 24,875,000 0.26%
144 UNIVERSAL HLTH SVCS INC 184,694 24,767,000 0.25%
145 LYONDELLBASELL INDUSTRIES N 332,066 24,712,000 0.25%
146 STERIS PLC SHS USD 358,849 24,671,000 0.25%
147 PNM RES INC 696,060 24,668,000 0.25%
148 PNC FINL SVCS GROUP INC 303,065 24,666,000 0.25%
149 DEXCOM 309,651 24,565,000 0.25%
150 PERFORMANCE FOOD GROUP CO COM 910,382 24,498,000 0.25%
Page 3 of 8

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-018525, filed 2016.07.26).

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.