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Institutional Investment Manager
WESTFIELD CAPITAL MANAGEMENT CO LP
WESTFIELD CAPITAL MANAGEMENT CO LP (CIK: 0001177719) incorporated in Delaware, located at One Financial Center, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 249 holdings with a total value of $12,391,388,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 UNIVAR INC 417,520 9,123,000 0.07%
202 AZZ INC 134,440 8,775,000 0.07%
203 CISCO SYS INC 273,595 8,678,000 0.07%
204 BRUKER CORP 380,102 8,609,000 0.07%
205 MULTI COLOR CORP COM 128,350 8,471,000 0.07%
206 HENRY JACK & ASSOC INC 92,384 7,903,000 0.06%
207 ACORDA THERAPEUTICS INC 355,913 7,431,000 0.06%
208 TARGET CORP 106,242 7,297,000 0.06%
209 PROCTER AND GAMBLE CO 71,982 6,460,000 0.05%
210 JOHNSON & JOHNSON 52,485 6,200,000 0.05%
211 MARINE HARVEST ASA 343,545 6,156,000 0.05%
212 JPMORGAN CHASE & CO 92,100 6,133,000 0.05%
213 PFIZER INC 170,676 5,781,000 0.05%
214 PEPSICO INC 52,684 5,730,000 0.05%
215 PENSKE AUTOMOTIVE GRP INC 118,345 5,702,000 0.05%
216 ARCHER DANIELS MIDLAND CO 134,460 5,670,000 0.05%
217 KIMBERLY CLARK CORP 41,847 5,279,000 0.04%
218 COCA COLA CO 123,900 5,243,000 0.04%
219 American Capital Agency 237,170 4,634,000 0.04%
220 MCDONALDS CORP 37,155 4,286,000 0.03%
221 NAVIGATOR HLDGS LTD 583,137 4,193,000 0.03%
222 CRITEO S A 116,600 4,094,000 0.03%
223 ORION ENGINEERED CARBONS S A 214,595 4,022,000 0.03%
224 ISHARES RUSSELL 2000 GROWTH ETF 26,880 4,002,000 0.03%
225 CROWN CASTLE INTL CORP NEW 34,890 3,287,000 0.03%
226 BAXTER INTL INC 67,695 3,222,000 0.03%
227 VERIZON COMMUNICATIONS INC 37,325 1,940,000 0.02%
228 NATIONAL HEALTH INVS INC 19,230 1,509,000 0.01%
229 DISNEY WALT CO 15,030 1,396,000 0.01%
230 ADTRAN INC COM 65,540 1,254,000 0.01%
231 WASTE CONNECTIONS INC 14,625 1,092,000 0.01%
232 KIRBY CORP 16,590 1,031,000 0.01%
233 COSTCO WHSL CORP NEW 6,170 941,000 0.01%
234 CVS HEALTH CORP 9,600 854,000 0.01%
235 NORTHERN TRUST 12,096 822,000 0.01%
236 MERCK & CO INC 12,159 759,000 0.01%
237 SCHLUMBERGER LTD 8,424 662,000 0.01%
238 3M CO 3,550 626,000 0.01%
239 EXXON MOBIL CORP 5,640 492,000 0.00%
240 CSX CORP 15,000 458,000 0.00%
241 LINDBLAD EXPEDITIONS HLDGS I COM 50,800 457,000 0.00%
242 VENTAS INC 4,719 333,000 0.00%
243 NEW MEDIA INVT GROUP INC COM 21,500 333,000 0.00%
244 CAMPBELL SOUP CO 6,000 328,000 0.00%
245 INTERNATIONAL BUSINESS MACHS 2,000 318,000 0.00%
246 PROTEOSTASIS THERAPEUTICS IN COM 19,695 307,000 0.00%
247 STATE STR CORP 3,840 267,000 0.00%
248 MONDELEZ INTL INC 6,000 263,000 0.00%
249 MEDTRONIC PLC 2,478 214,000 0.00%
Page 5 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-004733, filed 2016.11.10).

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.