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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 (2016Q1)
Portfolio Summary: 260 holdings with a total value of $11,219,957,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BLUE BUFFALO PET PRODS INC 884,698 22,701,000 0.20%
152 CAVIUM INC 375,095 22,941,000 0.20%
153 SILICON MOTION TECHN 596,691 23,158,000 0.21%
154 COHERENT INC 256,747 23,595,000 0.21%
155 MDC PARTNERS INC 1,018,288 24,032,000 0.21%
156 FIRST SOLAR INC 352,228 24,117,000 0.21%
157 AMERICAN EAGLE OUTFITTERS NE 1,470,440 24,512,000 0.22%
158 COLUMBIA SPORTSWEAR CO 413,472 24,846,000 0.22%
159 LEVEL 3 COMM 470,657 24,874,000 0.22%
160 DAVE & BUSTERS ENTMT INC 644,019 24,975,000 0.22%
161 2U, Inc. 1,120,668 25,327,000 0.23%
162 BEMIS INC 492,661 25,510,000 0.23%
163 LENDINGTREE INC NEW COM 261,666 25,586,000 0.23%
164 LDR HLDG CORP COM 1,015,059 25,874,000 0.23%
165 STERIS PLC SHS USD 375,028 26,646,000 0.24%
166 ZENDESK INC 1,275,062 26,687,000 0.24%
167 DIAMONDBACK ENERGY INC 347,375 26,810,000 0.24%
168 SIGNATURE BANK 199,735 27,188,000 0.24%
169 AMN HEALTHCARE SERVICES INC 852,329 28,647,000 0.26%
170 MATTEL INC 864,249 29,056,000 0.26%
171 CRITEO S A 704,095 29,164,000 0.26%
172 TRACTOR SUPPLY CO 322,999 29,218,000 0.26%
173 INFINERA CORPORATION 1,859,774 29,868,000 0.27%
174 ELECTRONICS FOR IMAGING INC 721,657 30,591,000 0.27%
175 STAMPS COM INC COM NEW 291,199 30,949,000 0.28%
176 NEWELL BRANDS 710,459 31,466,000 0.28%
177 NVIDIA CORPORATION 890,366 31,724,000 0.28%
178 VAIL RESORTS INC 238,413 31,876,000 0.28%
179 BURLINGTON STORES INC 567,301 31,905,000 0.28%
180 NUVASIVE INC 678,807 33,024,000 0.29%
181 ORBITAL ATK INC 385,399 33,507,000 0.30%
182 MADDEN STEVEN LTD COM 928,260 34,383,000 0.31%
183 FORTUNE BRANDS HOME & SEC IN 614,245 34,422,000 0.31%
184 G-III APPAREL GROUP LTD 715,137 34,963,000 0.31%
185 FIVE BELOW INC 882,453 36,481,000 0.33%
186 IMPERVA INC 727,140 36,721,000 0.33%
187 AMC NETWORKS INC CL A 565,546 36,727,000 0.33%
188 PARSLEY ENERGY CLA A 1,633,516 36,917,000 0.33%
189 TREEHOUSE FOODS INC 447,382 38,810,000 0.35%
190 EXPEDIA INC DEL 361,113 38,935,000 0.35%
191 PACIRA PHARMACEUTICALS INC 764,649 40,511,000 0.36%
192 MOLINA HEALTHCARE INC 631,507 40,726,000 0.36%
193 CYNOSURE CL A ORD 990,251 43,690,000 0.39%
194 MICROSEMI CORP 1,173,374 44,952,000 0.40%
195 ALLEGION PUB LTD CO 716,652 45,658,000 0.41%
196 KATE SPADE & CO 1,859,525 47,455,000 0.42%
197 BOOZ ALLEN HAMILTON HLDG COR 1,636,563 49,555,000 0.44%
198 DYCOM INDS INC 776,722 50,231,000 0.45%
199 NEVRO CORP COM 895,019 50,354,000 0.45%
200 RINGCENTRAL INC 3,428,565 54,000,000 0.48%
Page 4 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-003567, filed 2016.05.03).

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.