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Institutional Investment Manager
Geneva Advisors, LLC
Geneva Advisors, LLC (CIK: 0001269932) incorporated in Delaware, located at 181 W Madison Street, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001144204-14-064629) filed in 2014.11.03
#
Name
Shares
Value ($)
%
Options
Notes
651 CBOE Holdings Inc 229,099 12,263 0.23%
652 Envision Hlthcare Holdings Inc 365,525 12,676 0.24%
653 ONEOK INC NEW 197,357 12,937 0.24%
654 COMMUNITY HEALTH SYS INC NEW 236,442 12,955 0.24%
655 PRECISION CASTPARTS 55,262 13,091 0.25%
656 COGNIZANT TECHNOLOGY SOLUTIO 312,692 13,999 0.26%
657 TARGA RES CORP 113,933 15,514 0.29%
658 vSunoco Logistics Partners LP 344,426 16,622 0.31%
659 TYLER TECHNOLOGIES INC 194,654 17,207 0.32%
660 POTASH CORP SASK INC 515,207 17,806 0.34%
661 GENESIS ENERGY LP COM UNITS NPV 349,848 18,416 0.35%
662 PLAINS ALL AMERN PIPELINE L 342,011 20,131 0.38%
663 FIRST REPUBLIC BANK 442,727 21,862 0.41%
664 SPIRIT AIRLS INC 316,692 21,896 0.41%
665 Centene Corp 284,099 23,498 0.44%
666 ALPHABET INC C NON VOTING SHAR 41,264 23,824 0.45%
667 ROBERT HALF INTL INC 505,354 24,762 0.47%
668 CANADIAN PAC RY LTD 121,423 25,192 0.47%
669 EQT MIDSTREAM PARTNERS 290,097 25,996 0.49%
670 SUSSER PETROLEUM PARTNERS LP 475,308 26,142 0.49%
671 COPA HOLDINGS SA CLASS A 248,200 26,629 0.50%
672 Alphabet Inc. Class C 45,268 26,636 0.50%
673 DISCOVERY COMMUNICATNS NEW 736,897 27,472 0.52%
674 OASIS PETE INC NEW 676,601 28,289 0.53%
675 Och-Ziff Cap Mgmt Group 2,691,180 28,823 0.54%
676 ROCKWELL AUTOMATION INC 271,124 29,791 0.56%
677 UNITED RENTALS INC 284,775 31,639 0.60%
678 HALLIBURTON CO 497,072 32,066 0.60%
679 WHIRLPOOL CORP 233,788 34,051 0.64%
680 Salesforce.com Inc 593,639 34,152 0.64%
681 Allergan plc 194,698 34,693 0.65%
682 T Rowe Price Group Inc 442,761 34,712 0.65%
683 BAIDU INC 159,743 34,861 0.66%
684 BROOKFIELD ASSET MGMT INC 782,067 35,162 0.66%
685 Accenture PLC Ireland Class A 438,694 35,675 0.67%
686 WYNN RESORTS LTD 207,788 38,873 0.73%
687 QUALCOMM INC 541,880 40,516 0.76%
688 ICON PLC 732,554 41,924 0.79%
689 ECOLAB INC 366,949 42,137 0.79%
690 TARGA RESOURCES 584,914 42,319 0.80%
691 BIOGEN INC 129,473 42,831 0.81%
692 BLACKSTONE GROUP L P (THE) COM 1,390,283 43,766 0.82%
693 DOVER CORP 557,626 44,794 0.84%
694 Artisan Ptnrs Asset Management 861,940 44,864 0.85%
695 STERICYCLE INC 402,489 46,914 0.88%
696 KANSAS CITY SOUTHERN 389,384 47,193 0.89%
697 Acadia Hlthcare Co Inc 987,580 47,898 0.90%
698 SALIX PHARMACEUTICALS INC 317,054 49,537 0.93%
699 HOME DEPOT INC 540,769 49,610 0.94%
700 FLEETCOR TECHNOLOGIES INC 351,349 49,934 0.94%
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