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Institutional Investment Manager
ADAGE CAPITAL PARTNERS GP, L.L.C.
ADAGE CAPITAL PARTNERS GP, L.L.C. (CIK: 0001165408) incorporated in Delaware, located at 200 Clarendon Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 720 holdings with a total value of $40,101,883,000.
#
Name
Shares
Value ($)
%
Options
Notes
601 KLA-TENCOR CORP 122,900 6,908,000 0.02%
602 ENDOLOGIX INC 450,000 6,903,000 0.02%
603 TERADATA CORP DEL 185,300 6,856,000 0.02%
604 SHIRE PLC 28,000 6,762,000 0.02%
605 GREATBATCH INC 125,000 6,740,000 0.02%
606 OM GROUP INC 200,000 6,720,000 0.02%
607 RITE AID CORP 800,000 6,680,000 0.02%
608 PharMerica Corp 200,000 6,660,000 0.02%
609 AMETEK INC NEW 120,954 6,626,000 0.02%
610 KIRBY CORP 84,927 6,511,000 0.02%
611 CYPRESS SEMICONDUCTOR CORP 550,000 6,468,000 0.02%
612 BIODELIVERY SCIENCES INTL IN 800,000 6,368,000 0.02%
613 HESKA CORP 208,849 6,201,000 0.02%
614 JOY GLOBAL INCORPORATED 170,932 6,188,000 0.02%
615 PITNEY BOWES INC 291,396 6,064,000 0.02%
616 VANDA PHARMACEUTICALS INC COM 475,000 6,028,000 0.02%
617 INVESCO LTD 159,169 5,967,000 0.01%
618 CONTINENTAL BLDG PRODS INC COM 279,061 5,913,000 0.01%
619 HEXCEL CORP NEW COM 115,928 5,766,000 0.01%
620 HCC INSURANCE HOLDINGS INC 75,000 5,763,000 0.01%
621 GENWORTH FINL INC 758,347 5,741,000 0.01%
622 NOBLE CORP PLC 370,300 5,699,000 0.01%
623 RESMED INC 100,000 5,637,000 0.01%
624 VISTA OUTDOOR INC 125,430 5,632,000 0.01%
625 Polypore International 93,198 5,581,000 0.01%
626 OWENS-ILLINOIS, INC. 241,700 5,545,000 0.01%
627 ADAPTIMMUNE THERAPEUTICS PLC 300,000 5,499,000 0.01%
628 FIRST SOLAR INC 115,100 5,407,000 0.01%
629 CIRRUS LOGIC INC 158,400 5,390,000 0.01%
630 ENDOCHOICE HLDGS INC 325,000 5,314,000 0.01%
631 URBAN OUTFITTERS INC 150,393 5,264,000 0.01%
632 MAXPOINT INTERACTIVE 650,000 5,252,000 0.01%
633 Adt Corp 154,404 5,183,000 0.01%
634 GLOBUS MED INC 200,000 5,134,000 0.01%
635 RINGCENTRAL INC 275,000 5,085,000 0.01%
636 GLAUKOS CORP 175,000 5,072,000 0.01%
637 ALLEGHENY TECHNOLOGIES INC 164,800 4,977,000 0.01%
638 DIGITAL TURBINE INC 1,643,827 4,964,000 0.01%
639 OREXIGEN THERAPEUTICS INC COM 1,000,000 4,950,000 0.01%
640 NEW JERSEY RES CORP 177,131 4,880,000 0.01%
641 THRESHOLD PHARMACEUTICAL INC 1,200,000 4,848,000 0.01%
642 FLUIDIGM CORP DEL COM 200,000 4,840,000 0.01%
643 ECLIPSE RES CORP COM 896,542 4,716,000 0.01%
644 CASTLIGHT HEALTH INC COM CL B 578,982 4,713,000 0.01%
645 DEALERTRACK TECHNOLOGIES INC 75,000 4,709,000 0.01%
646 CARDIOME PHARMA CORP 500,000 4,705,000 0.01%
647 HHGREGG INC 1,369,490 4,574,000 0.01%
648 SCRIPPS E W CO OHIO CL A NEW 200,000 4,570,000 0.01%
649 NEXVET BIOPHARMA PUB LTD CO 875,000 4,349,000 0.01%
650 COSAN LTD 700,000 4,312,000 0.01%
Page 13 of 15

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001172661-15-001500, filed 2015.08.14).

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.