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Institutional Investment Manager
EMINENCE CAPITAL, LP
EMINENCE CAPITAL, LP (CIK: 0001107310) incorporated in Delaware, located at 399 Park Avenue, 25th Floor, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 58 holdings with a total value of $6,053,660,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 AUTODESK INC 5,995,492 338,026,000 5.58%
2 NATIONAL OILWELL VARCO INC 3,908,014 321,825,000 5.32%
3 Fossil Group, Inc. 2,707,024 282,938,000 4.67%
4 MENS WEARHOUSE INC 4,646,800 259,291,000 4.28%
5 EBAY INC 4,544,728 227,509,000 3.76%
6 VCA INC 5,199,465 182,449,000 3.01%
7 KAR AUCTION SERVICES 5,462,836 174,101,000 2.88%
8 Group 1 Automotive, Inc. 2,012,147 169,644,000 2.80%
9 EQUINIX INC 707,627 148,665,000 2.46%
10 ALLSCRIPTS HEALTHCARE SOLUTI 9,248,676 148,441,000 2.45%
11 S&P GLOBAL INC 1,764,442 146,502,000 2.42%
12 Asbury Automotive Group, Inc. 2,117,102 145,530,000 2.40%
13 Cadence Design Systems, Inc. 8,301,177 145,188,000 2.40%
14 HUMANA INC 1,099,739 140,459,000 2.32%
15 AMERICAN INTL GROUP INC 2,572,818 140,424,000 2.32%
16 GENPACT LIMITED 7,949,827 139,360,000 2.30%
17 DOLLAR GENERAL CORP 2,409,861 138,230,000 2.28%
18 INTERXION HOLDING N.V 4,852,530 132,862,000 2.19%
19 MicroStrategy Incorporated Cla 892,503 125,504,000 2.07%
20 CHARTER COMMUNICATIONS INC D 772,561 122,358,000 2.02%
21 MADISON SQUARE GARDEN 1,846,636 115,322,000 1.90%
22 DRIL QUIP INC 1,001,792 109,436,000 1.81%
23 TIBCO SOFTWARE INC 5,287,591 106,651,000 1.76%
24 VALEANT PHARMACEUTICALS INTE 753,216 94,996,000 1.57%
25 FRANKLIN RESOURCES INC 1,575,931 91,152,000 1.51%
26 LENNAR CORP 2,070,235 86,908,000 1.44%
27 ZYNGA INC 26,531,473 85,166,000 1.41%
28 AUTONATION INC 1,423,842 84,975,000 1.40%
29 SIRONA DENTAL SYS INC 1,015,930 83,774,000 1.38%
30 FEDEX CORP 552,644 83,659,000 1.38%
31 RALPH LAUREN CORP 508,006 81,631,000 1.35%
32 BAIDU INC - ADR 433,414 80,966,000 1.34%
33 MONSANTO CO 648,578 80,904,000 1.34%
34 Allergan PLC 468,655 79,306,000 1.31%
35 Fortune Brands Home & Security 1,983,000 79,181,000 1.31%
36 Urban Outfitters, Inc. 2,321,307 78,599,000 1.30%
37 PVH CORP 668,920 77,996,000 1.29%
38 SONIC AUTOMOTIVE INC CLASS A 2,910,300 77,647,000 1.28%
39 FISERV INC 1,286,983 77,631,000 1.28%
40 UNITED TECHNOLOGIES CORP 636,578 73,493,000 1.21%
41 CARNIVAL CORP COMMON PAIRED STOCK 1,946,586 73,289,000 1.21%
42 COPART INC 2,011,766 72,343,000 1.20%
43 SENSATA TECHNOLOGIES HLDG NV 1,370,137 64,095,000 1.06%
44 MALLINCKRODT PLC 723,468 57,892,000 0.96%
45 ANN INC 1,295,116 53,281,000 0.88%
46 SPRINT CORP 5,800,605 49,479,000 0.82%
47 GOOGLE INC 69,457 40,609,000 0.67%
48 GOOGLE INC 69,457 39,957,000 0.66%
49 CTRIP.COM INTL ADR 475,891 30,476,000 0.50%
50 CARMAX INC 560,932 29,174,000 0.48%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-14-001761, filed 2014.08.14).

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.