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Institutional Investment Manager
ALKEON CAPITAL MANAGEMENT LLC
ALKEON CAPITAL MANAGEMENT LLC (CIK: 0001230239) incorporated in Delaware, located at 350 Madison Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 55 holdings with a total value of $5,235,027,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 DOLLAR TREE INC 3,529,401 286,393,000 5.47%
2 BAIDU INC 1,193,747 248,777,000 4.75%
3 WALGREENS BOOTS ALLIANCE INC 2,605,000 220,591,000 4.21%
4 ALLERGAN PLC 719,030 213,998,000 4.09%
5 INTERCONTINENTAL EXCHANGE IN 910,270 212,338,000 4.06%
6 CELGENE CORP 1,746,500 201,336,000 3.85%
7 DOLLAR GEN CORP NEW 2,336,000 176,087,000 3.36%
8 VISA INC 2,633,376 172,249,000 3.29%
9 COSTCO WHSL CORP NEW 1,128,692 170,991,000 3.27%
10 CBS CORP NEW 2,786,377 168,938,000 3.23%
11 NXP SEMICONDUCTORS N V 4,040,000 164,670,000 3.15%
12 MASTERCARD INCORPORATED 1,876,980 162,152,000 3.10%
13 SYNOPSYS INC 3,243,423 150,236,000 2.87%
14 VIPSHOP HLDGS LTD 5,063,060 149,057,000 2.85%
15 TRIPADVISOR INC 1,711,152 142,316,000 2.72%
16 COMCAST CORP NEW 2,333,940 131,798,000 2.52%
17 QUALCOMM INC 1,882,755 130,550,000 2.49%
18 NORDSTROM INC 1,572,774 126,325,000 2.41%
19 PREMIER INC CL A 3,186,645 119,754,000 2.29%
20 ALEXION PHARMACEUTIC 686,870 119,034,000 2.27%
21 X21ST CENTURY FOX B 3,490,413 114,765,000 2.19%
22 CENCORA 1,008,090 114,589,000 2.19%
23 FACEBOOK INC 1,303,000 107,126,000 2.05%
24 APPLE INC 842,567 104,841,000 2.00%
25 AFFILIATED MANAGERS GROUP 457,130 98,182,000 1.88%
26 NEWS CORPORATION NEW CLASS B 6,032,894 95,742,000 1.83%
27 ISHARES NASDAQ BIOTECHNOLOGY ETF 170,325 94,479,000 1.80%
28 VERISK ANALYTICS INC 1,235,375 88,205,000 1.68%
29 LAM RESEARCH CORP 1,168,730 82,086,000 1.57%
30 CARTERS INC 815,034 75,367,000 1.44%
31 ACTIVISION BLIZZARD INC 3,188,000 72,447,000 1.38%
32 XILINX INC 1,523,367 64,439,000 1.23%
33 ON SEMICONDUCTOR CORP 4,625,000 56,008,000 1.07%
34 ANALOG DEVICES INC 875,000 55,125,000 1.05%
35 FLEETCOR TECH 358,400 54,090,000 1.03%
36 CADENCE DESIGN 2,550,400 47,030,000 0.90%
37 ASPEN TECHNOLOGY INC 1,207,271 46,468,000 0.89%
38 VALEANT PHARMACEUTICALS INTL 200,000 39,724,000 0.76%
39 TAKE-TWO INTERACTIVE SOFTWARE COM 1,533,000 39,022,000 0.75%
40 TERADYNE INC COM 1,992,208 37,554,000 0.72%
41 BIOMARIN 279,299 34,806,000 0.66%
42 FISERV INC 400,000 31,760,000 0.61%
43 APPLIED MATLS INC 1,399,000 31,562,000 0.60%
44 QIHOO 360 TECHNOLOGY CO LTD 521,940 26,723,000 0.51%
45 FANG HOLDINGS LTD 3,933,621 23,602,000 0.45%
46 CINTAS 270,000 22,040,000 0.42%
47 TOWER SEMICONDUCTOR LTD SHS NEW 1,250,000 21,225,000 0.41%
48 OMNIVISION TECHS INC 784,900 20,697,000 0.40%
49 MAXIM INTEGR 500,000 17,405,000 0.33%
50 COUPONS COM INC 1,008,170 11,836,000 0.23%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000919574-15-004488, filed 2015.05.15).

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.