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Institutional Investment Manager
SCOPUS ASSET MANAGEMENT, L.P.
SCOPUS ASSET MANAGEMENT, L.P. (CIK: 0001317583) incorporated in Delaware, located at 717 Fifth Ave, 21st FL, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001264128-15-000041) filed in 2015.08.14
#
Name
Shares
Value ($)
%
Options
Notes
151 ORION ENGINEERED CARBONS S A 405,500 7,486 0.13%
152 ClubCorp Hldgs Inc 313,200 7,479 0.13%
153 RBC BEARINGS INC 99,355 7,130 0.12%
154 A O SMITH 97,000 6,982 0.12%
155 MINERALS TECHNOLOGIES INC 102,000 6,949 0.12%
156 STAGE STORES INC 390,000 6,837 0.12%
157 LANXESS AG 115,000 6,780 0.12%
158 JOHNSON CTLS INTL PLC 135,510 6,712 0.12%
159 SEALED AIR CORP NEW 125,000 6,423 0.11%
160 WEYERHAEUSER CO 200,000 6,300 0.11%
161 KORN FERRY COM NEW 170,000 5,911 0.10%
162 GASLOG LTD 285,000 5,686 0.10%
163 NOMAD FOODS LTD 250,000 5,500 0.09%
164 BRAVO BRIO RESTAURANT GROUP COM 400,000 5,420 0.09%
165 Infrareit Inc Com 190,000 5,388 0.09%
166 TRINSEO S A 200,000 5,368 0.09%
167 QUINPARIO ACQUISITION CORP 2 500,900 5,234 0.09%
168 DINE BRANDS GLOBAL INC 50,000 4,955 0.09%
169 GILDAN ACTIVEWEAR INC 148,362 4,932 0.08%
170 MARTEN TRANS LTD COM 218,500 4,741 0.08%
171 BANCO BRADESCO S/A 2,500,000 4,542 0.08%
172 TARGA RES CORP 50,000 4,461 0.08%
173 WACKER CHEMIE AG GERMAN SHARES 42,000 4,335 0.07%
174 SHUTTERSTOCK INC COM 70,000 4,105 0.07%
175 RPM INTL INC 81,011 3,967 0.07%
176 CRODA INTERNATIONAL PLC 90,000 3,892 0.07%
177 EVONIK INDUSTRIES AG 100,000 3,815 0.07%
178 SEAWORLD ENTERTAINMENT INCORPORATED 202,900 3,741 0.06%
179 MONSANTO CO NEW 35,000 3,731 0.06%
180 CELADON GROUP INC 177,076 3,662 0.06%
181 CARROLS RESTAURANT GROUP INC 350,000 3,640 0.06%
182 CSX CORP 111,384 3,637 0.06%
183 ARKEMA 50,000 3,602 0.06%
184 RPC GROUP PLC 325,000 3,406 0.06%
185 TARKETT SA 148,014 3,193 0.06%
186 INTERFACE INC COM 125,517 3,144 0.05%
187 POTBELLY CORP 250,000 3,063 0.05%
188 CALERES INC 95,990 3,051 0.05%
189 GREEN PLAINS INC COM 105,000 2,893 0.05%
190 CHEMTURA CORP 100,000 2,831 0.05%
191 GRAPHIC PACKAGING HLDG CO 190,000 2,647 0.05%
192 FLOWSERVE CORP 50,000 2,633 0.05%
193 SELECT SECTOR SPDR TR 35,000 2,631 0.05%
194 UNIVAR INC 100,000 2,603 0.04%
195 WESTMORELAND COAL CO 124,203 2,581 0.04%
196 RAYONIER INC 100,000 2,555 0.04%
197 OM GROUP INC 75,800 2,547 0.04%
198 SPX CORP 35,000 2,534 0.04%
199 STEIN MART INC 221,500 2,319 0.04%
200 INTERNATIONAL GAME TECHNOLOG 125,000 2,220 0.04%
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