Dark
Light
System
Institutional Investment Manager
DISCOVERY CAPITAL MANAGEMENT, LLC / CT
DISCOVERY CAPITAL MANAGEMENT, LLC / CT (CIK: 0001389507) incorporated in Connecticut, located at 20 Marshall Street, South Norwalk, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Original 13F HR (0000919574-15-008237) filed in 2015.11.16
#
Name
Shares
Value ($)
%
Options
Notes
1 PVH CORPORATION 47,600 4,852 0.05%
2 VOYA FINANCIAL INC 56,114 2,176 0.02%
3 RALPH LAUREN CORP 82,000 9,689 0.11%
4 ALLERGAN PLC 100,000 94,346 1.05%
5 ZS PHARMA INC 117,000 7,682 0.09%
6 MDC PARTNERS INC 150,000 2,765 0.03%
7 CTRIP COM INTL LTD 158,800 10,033 0.11%
8 BRUNSWICK CORP 164,000 7,854 0.09%
9 TOWERS WATSON & CO 167,500 19,661 0.22%
10 NORTHROP GRUMMAN CORP 171,650 28,485 0.32%
11 POLARIS INDS INC 175,300 21,013 0.23%
12 JD COM INC 205,000 5,342 0.06%
13 ESSENT GROUP LTD 207,949 5,168 0.06%
14 BITAUTO HLDGS LIMITED SPONSORED ADS 209,843 6,247 0.07%
15 CIMAREX ENERGY 246,000 25,210 0.28%
16 PANERA BREAD CO 260,000 50,287 0.56%
17 TEMPUR SEALY INTL INC 281,812 20,130 0.22%
18 VMWARE INC 300,000 23,637 0.26%
19 CONTROLADORA VUELA CIA DE AV 311,014 4,640 0.05%
20 TAL ED GROUP 317,000 10,192 0.11%
21 GOOGLE INC 342,342 208,288 2.32%
22 HOME DEPOT INC 343,000 39,613 0.44%
23 VALEANT PHARMACEUTICALS INTL 353,645 63,083 0.70%
24 DEPOMED INC 356,779 6,725 0.07%
25 LULULEMON ATHLETICA INC 371,000 18,791 0.21%
26 SPDR SERIES TRUST 405,000 13,863 0.15%
27 CREDICORP LTD 418,247 44,485 0.49%
28 AMERICAN AIRLS GROUP INC 457,000 17,745 0.20%
29 ENERGEN CORP COM 466,095 23,239 0.26%
30 CHINA MOBILE LIMITED 479,284 28,517 0.32%
31 WEIBO CORP 493,000 5,763 0.06%
32 VANGUARD INTL EQUITY INDEX F 500,000 16,545 0.18%
33 YUM BRANDS INC 500,000 39,975 0.44% Call
34 VMWARE INC 500,000 39,395 0.44% Call
35 AMAZON COM INC 521,948 267,180 2.97%
36 Esperion Therapeutics Inc 524,200 12,366 0.14%
37 YANDEX N V 562,500 6,036 0.07%
38 DARDEN RESTAURANTS INC 586,477 40,197 0.45%
39 FLEETCOR TECHNOLOGIES INC 587,750 80,886 0.90%
40 EOG RES INC 641,500 46,701 0.52%
41 ROSS STORES INC 656,900 31,840 0.35%
42 WILLIS TOWERS WATSON PLC 682,300 27,954 0.31%
43 GODADDY INC 692,405 17,456 0.19%
44 BIOGEN INC 697,880 203,648 2.26%
45 21VIANET GROUP INC 717,780 13,121 0.15%
46 T-MOBILE US, INCORPORATED. CONV PFD SER A 750,000 51,795 0.58%
47 PARSLEY ENERGY CLA A 750,000 11,303 0.13%
48 AUTOHOME INC 765,999 24,918 0.28%
49 MELCO ENTMT ADR 787,198 10,832 0.12%
50 MICRON TECHNOLOGY INC 867,000 12,988 0.14%
Page 1 of 3