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Institutional Investment Manager
Integre Asset Management, LLC
Integre Asset Management, LLC (CIK: 0001352306) incorporated in Delaware, located at 147 East 48th St., New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 148 holdings with a total value of $477,022,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 QUALCOMM INC 35,518 2,224,000 0.47%
102 MONSTER BEVERAGE CORP NEW 16,606 2,226,000 0.47%
103 ALIBABA GROUP HLDG LTD 27,574 2,269,000 0.48%
104 NU SKIN ENTERPRISES INC 54,912 2,588,000 0.54%
105 JOHNSON & JOHNSON 26,713 2,603,000 0.55%
106 ISHARES NASDAQ BIOTECHNOLOGY ETF 5,221 2,820,000 0.59%
107 Wuxi Pharmatech Inc ADR 66,905 2,827,000 0.59%
108 CHINA BIOLOGIC PRODS INC 25,862 2,978,000 0.62%
109 NETSUITE INC 32,910 3,019,000 0.63%
110 LAS VEGAS SANDS CORP 58,395 3,070,000 0.64%
111 CME GROUP 33,144 3,084,000 0.65%
112 LENOVO GROUP LTD 116,922 3,240,000 0.68%
113 LENDINGCLUB CORP 230,077 3,394,000 0.71%
114 CAPE BANCORP INC 362,285 3,427,000 0.72%
115 SALESFORCE COM INC 52,473 3,654,000 0.77%
116 * ELONG INC SPONSORED ADR 244,501 4,137,000 0.87%
117 GOOGLE INC 8,183 4,259,000 0.89%
118 BAIDU INC 22,014 4,383,000 0.92%
119 AMAZON COM INC 10,256 4,452,000 0.93%
120 Kinder Morgan Inc 124,944 4,797,000 1.01%
121 MASTERCARD INCORPORATED 52,430 4,901,000 1.03%
122 APPLE INC 42,577 5,340,000 1.12%
123 MICROSOFT CORP 163,696 7,227,000 1.52%
124 CAMERON INTERNATIONAL COMPANY 169,650 8,885,000 1.86%
125 TEGNA INC 279,372 8,959,000 1.88%
126 GENERAL ELECTRIC CO 352,214 9,358,000 1.96%
127 INVESCO LTD 250,789 9,402,000 1.97%
128 FIRSTENERGY CORP 299,237 9,740,000 2.04%
129 TRINITY INDS INC 372,374 9,842,000 2.06%
130 MCDONALDS CORP 104,726 9,956,000 2.09%
131 DYNEGY INCORPORATED NEW D 344,367 10,073,000 2.11%
132 GEO GROUP INC NEW 295,334 10,089,000 2.11%
133 B/E AEROSPACE INC 195,183 10,716,000 2.25%
134 KEYSIGHT TECHNOLOGIES INC COM 349,968 10,916,000 2.29%
135 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 141,900 11,507,000 2.41%
136 AMERICAN EXPRESS CO 148,065 11,508,000 2.41%
137 DICKS SPORTING GOODS INC 231,456 11,982,000 2.51%
138 KNOWLES CORP COM 669,501 12,118,000 2.54%
139 GAMING & LEISURE PPTYS INC 347,262 12,731,000 2.67%
140 TENCENT HLDGS LIMITED COMMON STOCK 637,033 12,741,000 2.67%
141 AMERICAN INTL GROUP INC 209,226 12,934,000 2.71%
142 L BRANDS INC 152,646 13,086,000 2.74%
143 UNITED CONTL HLDGS INC 247,191 13,104,000 2.75%
144 MOHAWK INDS 72,383 13,818,000 2.90%
145 HOLOGIC INC 425,263 16,186,000 3.39%
146 YUM BRANDS INC 180,486 16,258,000 3.41%
147 MALLINCKRODT PUB LTD CO 142,743 16,804,000 3.52%
148 LEVEL 3 COMMUNICTIONS COM 384,076 20,229,000 4.24%
Page 3 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-15-031794, filed 2015.08.14).

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.