Dark
Light
System
Institutional Investment Manager
Redwood Investments, LLC
Redwood Investments, LLC (CIK: 0001384058) incorporated in Massachusetts, located at 265 Franklin Street, Suite 1603, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Original 13F HR (0001384058-16-000013) filed in 2016.02.10
#
Name
Shares
Value ($)
%
Options
Notes
101 AMBARELLA INC 34,514 1,924 0.21% SH
102 HEARTLAND PMT SYS INC 20,654 1,958 0.21% SH
103 LIGAND PHARMACEUTICALS INC 18,759 2,034 0.22% SH
104 PharMerica Corp 58,400 2,044 0.22% SH
105 ABIOMED INC 22,724 2,052 0.22% SH
106 RUBICON PROJ INC 127,511 2,098 0.22% SH
107 DYCOM INDS INC 30,121 2,107 0.23% SH
108 AMSURG CORP 28,011 2,129 0.23% SH
109 CAMBREX CORP 45,791 2,156 0.23% SH
110 A O SMITH 28,376 2,174 0.23% SH
111 STERIS PLC SHS USD 29,440 2,218 0.24% SH
112 AZZ INC 40,320 2,241 0.24% SH
113 BGC PARTNERS INC 234,354 2,299 0.25% SH
114 DIPLOMAT PHARMACY INC COM 67,432 2,308 0.25% SH
115 TILE SHOP HLDGS INC 145,145 2,380 0.26% SH
116 BROADSOFT INC 67,746 2,395 0.26% SH
117 SYNCHRONOSS TECHNOLOGIES INC 68,547 2,415 0.26% SH
118 HORIZON PHARMA PLC 111,682 2,420 0.26% SH
119 BANK OF THE OZARKS INC 50,927 2,519 0.27% SH
120 GRAY TELEVISION INC COM 154,707 2,522 0.27% SH
121 KFORCE INC COM 100,723 2,546 0.27% SH
122 EURONET WORLDWIDE INC 35,638 2,581 0.28% SH
123 JAMES RIVER GROUP HOLDINGS 79,536 2,668 0.29% SH
124 INTEGRATED DEVICE TECHNOLOGY 101,628 2,678 0.29% SH
125 AMN HEALTHCARE SERVICES INC 92,044 2,858 0.31% SH
126 CSG SYS INTL INC 79,760 2,870 0.31% SH
127 SALESFORCE COM INC 42,997 3,371 0.36% SH
128 NETFLIX INC 31,367 3,588 0.38% SH
129 HANESBRANDS INC 128,523 3,782 0.41% SH
130 QUINTILES IMS HOLDINGS INC 55,161 3,787 0.41% SH
131 REGENERON PHARMACEUTICALS 7,724 4,193 0.45% SH
132 NIKE INC 68,232 4,265 0.46% SH
133 ROBERT HALF INTL INC 100,681 4,746 0.51% SH
134 SOUTHWEST AIRLS CO 118,498 5,103 0.55% SH
135 BEST BUY INC 257,947 7,854 0.84% SH
136 SEALED AIR CORP NEW 194,865 8,691 0.93% SH
137 FISERV INC 98,579 9,016 0.97% SH
138 PAYCHEX INC 189,045 9,999 1.07% SH
139 T MOBILE US INC 269,723 10,552 1.13% SH
140 EOG RES INC 161,957 11,465 1.23% SH
141 HCA HOLDINGS INC 173,594 11,740 1.26% SH
142 LABORATORY CORP AMER HLDGS 98,304 12,154 1.30% SH
143 FEDEX CORP 82,672 12,317 1.32% SH
144 KROGER CO 311,431 13,027 1.40% SH
145 SKYWORKS SOLUTIONS INC 170,112 13,070 1.40% SH
146 BOEING CO 92,688 13,402 1.44% SH
147 SUNTRUST BKS INC 313,948 13,450 1.44% SH
148 ALLIANCE DATA SYSTEMS CORP 49,445 13,675 1.47% SH
149 CINTAS CORP 150,327 13,687 1.47% SH
150 PPG INDS INC 142,778 14,109 1.51% SH
Page 3 of 4