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Institutional Investment Manager
AXIOM INVESTORS LLC /DE
AXIOM INVESTORS LLC /DE (CIK: 0001109147) incorporated in Delaware, located at 33 Benedict Place, Greenwich, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 131 holdings with a total value of $3,487,625,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 SCHLUMBERGER LTD 312,750 26,956,000 0.77%
52 LAZARD LTD 466,730 26,249,000 0.75%
53 PETROLEO BRASILEIRO SA PETRO 2,724,170 24,654,000 0.71%
54 NXP SEMICONDUCTORS N V 248,544 24,407,000 0.70%
55 YANDEX N V 1,529,509 23,279,000 0.67%
56 CTRIP COM INTL LTD 207,400 15,061,000 0.43%
57 UNIVERSAL HLTH SVCS INC 85,600 12,164,000 0.35%
58 ALLEGION PUB LTD CO 149,543 8,994,000 0.26%
59 DR REDDYS LABS LTD 144,100 7,972,000 0.23%
60 ISHARES TR 263,300 7,967,000 0.23%
61 LENNOX INTL INC 65,300 7,032,000 0.20%
62 G-III APPAREL GROUP LTD 94,480 6,647,000 0.19%
63 ClubCorp Hldgs Inc 277,093 6,617,000 0.19%
64 AMN HEALTHCARE SERVICES INC 203,080 6,415,000 0.18%
65 ACADIA COMPANY COM 81,197 6,360,000 0.18%
66 EURONET WORLDWIDE INC 98,950 6,105,000 0.18%
67 BRIGHT HORIZONS FAM SOL IN DEL COM 103,967 6,009,000 0.17%
68 VERINT SYS INC 97,636 5,931,000 0.17%
69 XPO LOGISTICS INC 128,270 5,795,000 0.17%
70 LITHIA MTRS INC COM 51,065 5,779,000 0.17%
71 MANHATTAN ASSOCIATES INC 94,844 5,657,000 0.16%
72 DEXCOM INC 69,737 5,578,000 0.16%
73 SPECTRUM BRANDS HLDGS INC 53,123 5,418,000 0.16%
74 LOGMEIN INC 81,865 5,279,000 0.15%
75 IMAX CORP 130,482 5,255,000 0.15%
76 Q2 Holdings Inc 182,470 5,155,000 0.15%
77 AMERICA MOVIL SAB DE CV 230,000 4,901,000 0.14%
78 UNITED CMNTY BKS BLAIRSVLE GA COM 204,580 4,270,000 0.12%
79 AVAGO TECHNOLOGIES LTD SHS 29,600 3,935,000 0.11%
80 BELDEN INC 46,486 3,776,000 0.11%
81 EPAM SYS INC 50,986 3,632,000 0.10%
82 PROOFPOINT INC 56,819 3,618,000 0.10%
83 CAMBREX CORP 80,698 3,546,000 0.10%
84 TYLER TECHNOLOGIES INC 27,280 3,529,000 0.10%
85 POWERSHARES INDIA ETF TR 154,900 3,350,000 0.10%
86 DELUXE CORP COM 50,941 3,158,000 0.09%
87 DIAMOND RESORTS INTL INC COM 98,559 3,110,000 0.09%
88 EAGLE BANCORP INC MD 70,433 3,096,000 0.09%
89 INTEGRATED DEVICE TECHNOLOGY 139,797 3,034,000 0.09%
90 Corp Executive Board Co 34,507 3,004,000 0.09%
91 MULTI COLOR CORP COM 44,302 2,830,000 0.08%
92 ISHARES MSCI TAIWAN ETF 179,000 2,825,000 0.08%
93 APOGEE ENTERPRISES INC COM 49,810 2,622,000 0.08%
94 AAC HLDGS INC 57,214 2,492,000 0.07%
95 COMSCORE INC 46,594 2,482,000 0.07%
96 BLUEBIRD BIO INC COM 14,692 2,474,000 0.07%
97 CHIMERIX INC 51,500 2,379,000 0.07%
98 AMERICAN WOODMARK CORPORATION COM 41,310 2,266,000 0.06%
99 ACADIA PHARMACEUTICALS INC COM 53,834 2,255,000 0.06%
100 AMSURG CORP 31,240 2,185,000 0.06%
Page 2 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001109147-15-000005, filed 2015.08.13).

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.