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Institutional Investment Manager
COOKSON PEIRCE & CO INC
COOKSON PEIRCE & CO INC (CIK: 0001141455) incorporated in Pennsylvania, located at 555 Grant Street, Pittsburgh, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Original 13F HR (0001141455-17-000002) filed in 2017.04.28
#
Name
Shares
Value ($)
%
Options
Notes
51 RENAISSANCERE HOLDINGS LTD 71,140 10,290 1.25% SH
52 VISTEON CORP COM NEW 70,380 6,894 0.84% SH
53 NETEASE INC 67,180 19,079 2.31% SH
54 MARKETAXESS HLDGS INC 65,540 12,288 1.49% SH
55 ULTA BEAUTY INC 65,137 18,579 2.25% SH
56 CSX CORP 64,020 2,980 0.36% SH
57 BRINKS CO 63,420 3,390 0.41% SH
58 COGNEX CORP 60,145 5,049 0.61% SH
59 EMCOR GROUP INC 56,220 3,539 0.43% SH
60 DOW CHEM CO 54,055 3,435 0.42% SH
61 TETRA TECH INC NEW 53,180 2,172 0.26% SH
62 WORTHINGTON INDS INC 51,470 2,321 0.28% SH
63 HUNTINGTON INGALLS INDS INC 49,510 9,914 1.20% SH
64 MSC INDL DIRECT INC 49,000 5,035 0.61% SH
65 GOLDMAN SACHS GROUP INC 48,270 11,089 1.34% SH
66 PACKAGING CORP AMER 46,748 4,283 0.52% SH
67 AMAZON COM INC 44,863 39,773 4.82% SH
68 HANCOCK WHITNEY CORPORATION 39,490 1,799 0.22% SH
69 3M CO 37,258 7,129 0.86% SH
70 EAST WEST BANCORP INC 36,630 1,890 0.23% SH
71 BROWN & BROWN INC 36,095 1,506 0.18% SH
72 INTERDIGITAL INC 30,120 2,599 0.32% SH
73 DBX ETF TR 28,680 849 0.10% SH
74 GENTEX CORP 28,640 611 0.07% SH
75 CISCO SYS INC 28,050 948 0.11% SH
76 COLUMBIA ETF TR II 27,965 713 0.09% SH
77 OMNICOM GROUP INC 26,755 2,307 0.28% SH
78 UNITED CONTL HLDGS INC 26,320 1,859 0.23% SH
79 MONOLITHIC PWR SYS INC 25,715 2,368 0.29% SH
80 VAIL RESORTS INC 22,945 4,403 0.53% SH
81 STANLEY BLACK &DECKER INC 20,426 2,714 0.33% SH
82 WASTE CONNECTIONS INC 20,350 1,795 0.22% SH
83 CRANE CO 20,270 1,517 0.18% SH
84 AK STL HLDG CORP 19,930 143 0.02% SH
85 INDEXIQ ETF TR 18,610 603 0.07% SH
86 MERCADOLIBRE INC 18,580 3,929 0.48% SH
87 TORCHMARK CORP COM 16,260 1,253 0.15% SH
88 ISHARES TR 16,250 833 0.10% SH
89 FIRST TR NASDAQ ABA CMNTY BK 15,830 801 0.10% SH
90 SYNOPSYS INC 15,470 1,116 0.14% SH
91 ACTIVISION BLIZZARD INC 15,020 749 0.09% SH
92 MASTERCARD INCORPORATED 13,441 1,512 0.18% SH
93 CENTERPOINT ENERGY INC 12,140 335 0.04% SH
94 NANOMETRICS INC 11,250 343 0.04% SH
95 J2 GLOBAL INC 11,160 936 0.11% SH
96 POWERSHARES ETF TR II 10,590 773 0.09% SH
97 II VI INC 10,490 378 0.05% SH
98 ANALOG DEVICES INC 10,400 852 0.10% SH
99 POWERSHARES ETF TR II 9,740 457 0.06% SH
100 MGM RESORTS INTERNATIONAL 9,560 262 0.03% SH
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