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Institutional Investment Manager
COLUMBUS CIRCLE INVESTORS
COLUMBUS CIRCLE INVESTORS (CIK: 0001228773) incorporated in Delaware. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 272 holdings with a total value of $12,226,124,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 OXFORD INDS INC COM 270,833 20,009,000 0.16%
152 UNIVERSAL HLTH SVCS INC 161,212 20,121,000 0.16%
153 STAMPS COM INC COM NEW 275,586 20,396,000 0.17%
154 JARDEN CORP 424,651 20,757,000 0.17%
155 CATHAY GEN BANCORP 710,908 21,299,000 0.17%
156 ELECTRONIC ARTS INC 318,115 21,552,000 0.18%
157 ATRICURE INC 988,373 21,655,000 0.18%
158 AMN HEALTHCARE SERVICES INC 742,147 22,272,000 0.18%
159 DAVE & BUSTERS ENTMT INC 603,671 22,837,000 0.19%
160 BIOMARIN PHARMACEUTICAL INC 226,384 23,843,000 0.20%
161 ZOETIS INC 587,819 24,206,000 0.20%
162 HEADWATERS INC COM 1,287,942 24,213,000 0.20%
163 TENET HEALTHCARE CORP 659,089 24,334,000 0.20%
164 UNITEDHEALTH GROUP INC 210,448 24,414,000 0.20%
165 THERMO FISHER SCIENTIFIC INC 199,910 24,445,000 0.20%
166 UNIVERSAL DISPLAY CORP 726,674 24,634,000 0.20%
167 ZIONS BANCORPORATION 919,716 25,329,000 0.21%
168 IMPERVA INC 390,250 25,554,000 0.21%
169 ALLEGION PUB LTD CO 448,695 25,872,000 0.21%
170 The Ryland Group Inc (Acquired 10/1/15) 638,646 26,076,000 0.21%
171 CYNOSURE CL A ORD 875,038 26,286,000 0.21%
172 ELECTRONICS FOR IMAGING INC 607,554 26,295,000 0.22%
173 FIVE BELOW INC 817,514 27,452,000 0.22%
174 RINGCENTRAL INC 1,515,957 27,515,000 0.23%
175 DARDEN RESTAURANTS INC 402,402 27,581,000 0.23%
176 CIGNA CORPORATION 206,969 27,945,000 0.23%
177 TEVA PHARMACEUTICAL INDS LTD 500,259 28,245,000 0.23%
178 FOOT LOCKER INC 401,388 28,888,000 0.24%
179 MEDTRONIC PLC 445,664 29,833,000 0.24%
180 NEWELL BRANDS 757,461 30,079,000 0.25%
181 CIENA CORP 1,470,040 30,459,000 0.25%
182 ALLEGIANT TRAVEL CO 145,779 31,525,000 0.26%
183 RADIAN GROUP INC 1,995,747 31,752,000 0.26%
184 PANERA BREAD CO 167,319 32,361,000 0.26%
185 INTERFACE INC COM 1,472,972 33,053,000 0.27%
186 AKAMAI TECHNOLOGIES INC 491,597 33,950,000 0.28%
187 TRACTOR SUPPLY CO 416,911 35,154,000 0.29%
188 EXPEDIA INC DEL 308,877 36,349,000 0.30%
189 AMC NETWORKS INC CL A 499,685 36,562,000 0.30%
190 Pandora Media Inc 1,760,541 37,570,000 0.31%
191 TEAM HEALTH HOLDINGS INC 714,953 38,629,000 0.32%
192 LDR HLDG CORP COM 1,119,653 38,662,000 0.32%
193 DEPHEID 867,216 39,198,000 0.32%
194 MIDDLEBY CORP 385,451 40,546,000 0.33%
195 IDEXX LAB 547,518 40,653,000 0.33%
196 NUVASIVE INC 849,398 40,958,000 0.34%
197 MOHAWK INDS 228,114 41,469,000 0.34%
198 VCA INCORPORATED 800,593 42,151,000 0.34%
199 MOBILEYE N V AMSTELVEEN 942,546 42,867,000 0.35%
200 HARMAN INTL INDS INC 446,975 42,905,000 0.35%
Page 4 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-15-002126, filed 2015.11.02).

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.