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Institutional Investment Manager
AMI ASSET MANAGEMENT CORP
AMI ASSET MANAGEMENT CORP (CIK: 0001369702) incorporated in California, located at 10866 Wilshire Blvd Ste 770, Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0001369702-17-000002) filed in 2017.01.24
#
Name
Shares
Value ($)
%
Options
Notes
1 INTEL CORP 8,000 290 0.02%
2 ISHARES TR 16,059 1,685 0.12%
3 HANESBRANDS INC 95,320 2,056 0.15%
4 WEST PHARMACEUTICAL SVSC INC 26,329 2,233 0.16%
5 RYDER SYS INC 33,116 2,465 0.18%
6 CALLON PETE CO DEL 212,247 3,262 0.24%
7 ISHARES RUSSELL 2000 GROWTH ETF 23,086 3,554 0.26%
8 SCIENCE APPLICATNS INTL CP N 54,159 4,593 0.34%
9 Vascular Solutions Inc 85,583 4,801 0.35%
10 On Assignment Inc 117,753 5,200 0.38%
11 AMERICAN RENAL ASSOCIATES HO 379,606 8,078 0.60%
12 MATADOR RES CO 334,730 8,623 0.64%
13 SMART AND FINAL STORES INC COM 623,920 8,797 0.65%
14 FAIR ISAAC CORP 74,544 8,887 0.66%
15 VIRTUSA CORP COM 369,605 9,284 0.69%
16 Abaxis Inc 180,213 9,510 0.70%
17 Performance Food Group Co 403,418 9,682 0.72%
18 BLACKBAUD INC 159,822 10,229 0.76%
19 SURGICAL CARE AFFILIATES ORD 245,950 11,380 0.84%
20 TiVo Corp 555,893 11,618 0.86%
21 BRIGHT HORIZONS FAM SOL IN DEL COM 167,769 11,747 0.87%
22 TELIGENT, INC. 1,829,750 12,095 0.89%
23 EXLSERVICE HOLDINGS INC COM 257,090 12,968 0.96%
24 MULTI COLOR CORP COM 169,112 13,123 0.97%
25 ENVISION HEALTHCARE CORP 207,817 13,153 0.97%
26 Snyders-Lance Inc 364,210 13,964 1.03%
27 Synchronoss Technologies Inc 381,830 14,624 1.08%
28 LIGAND PHARMA 144,649 14,698 1.09%
29 BROADSOFT INC 359,096 14,813 1.09%
30 CONCHO RES INC 113,030 14,988 1.11%
31 Albany Molecular 802,729 15,059 1.11%
32 PRA GROUP INC. 386,805 15,124 1.12%
33 ECHO GLOBAL LOGISTIC 605,240 15,161 1.12%
34 VERIZON COMMUNICATIONS INC 284,535 15,188 1.12%
35 ANIKA THERAPEUTICS INC 317,885 15,564 1.15%
36 DAVE & BUSTERS ENTMT INC 290,581 16,360 1.21%
37 DIAMONDBACK ENERGY INC 163,615 16,535 1.22%
38 CARDTRONICS PLC SHS CL A 306,218 16,710 1.23%
39 STAMPS COM INC COM NEW 149,024 17,086 1.26%
40 BLACKHAWK NETWORK HLDGS INC 454,071 17,107 1.26%
41 INNERWORKINGS INC 1,762,435 17,360 1.28%
42 3M Co 112,967 20,173 1.49%
43 INC RESH HLDGS INC 383,788 20,187 1.49%
44 FedEx Corp 110,804 20,632 1.52%
45 Paypal Holdings Inc 533,169 21,044 1.55%
46 KIMBERLY CLARK CORP 189,154 21,586 1.59%
47 SMUCKER J M CO 172,435 22,082 1.63%
48 Broadridge Fincl Sol 346,824 22,994 1.70%
49 COSTCO WHSL CORP NEW 148,083 23,710 1.75%
50 AKORN INCORPORATED 1,090,708 23,810 1.76%
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