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Institutional Investment Manager
SONORA INVESTMENT MANAGEMENT, LLC
SONORA INVESTMENT MANAGEMENT, LLC (CIK: 0001418539). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 894 holdings with a total value of $477,133,811.
#
Name
Shares
Value ($)
%
Options
Notes
1 ISIS PHARMACEUTICALS INC DEL 15,550,000 14,486,691 3.04%
2 CEPHEID 12,803,000 13,268,133 2.78%
3 Cornerstone OnDemand Inc 11,785,000 12,852,485 2.69%
4 ATLAS AIR WORLDWIDE HLDGS INC 12,610,000 12,247,311 2.57%
5 QUALCOMM INC 173,354 11,874,719 2.49%
6 NUANCE COMMUNICATIONS INC 11,320,000 11,408,862 2.39%
7 Royal Gold Inc 9,815,000 11,001,241 2.31%
8 VERINT SYS INC 11,375,000 10,806,250 2.26%
9 QUIDEL CORP 10,660,000 10,785,681 2.26%
10 RTI INTL METALS INC 9,855,000 10,520,015 2.20%
11 L BRANDS INC 8,780,000 10,118,950 2.12%
12 THE GAP INC 9,430,000 10,029,155 2.10%
13 HOLOGIC INC 7,034,000 9,519,112 2.00%
14 APPLE INC 73,422 8,300,306 1.74%
15 TOLL BROTHERS INC 7,785,000 8,076,938 1.69%
16 WEBMD HEALTH CORP NOTE 7,760,000 8,070,710 1.69%
17 DEPOMED INC 5,595,000 7,965,490 1.67%
18 M/I HOMES INC 7,623,000 7,822,037 1.64%
19 MERITAGE HOMES CORP 7,645,000 7,643,853 1.60%
20 ENVESTNET INC 7,740,000 7,451,221 1.56%
21 VECTOR GROUP LTD 6,500,000 7,385,040 1.55%
22 SPECTRUM PHARMACEUTICALS INC 8,185,000 7,320,107 1.53%
23 BioMarin Pharmaceutical Inc 5,530,000 6,923,505 1.45%
24 JUNIPER NETWORKS INC 6,440,000 6,829,311 1.43%
25 CSX CORP 202,480 6,175,652 1.29%
26 VALERO ENERGY CORP 5,425,000 6,093,236 1.28%
27 CORNING INC 246,543 5,830,742 1.22%
28 MERITAGE HOMES CORP 5,285,000 5,390,700 1.13%
29 WELLS FARGO & CO NEW 115,321 5,106,401 1.07%
30 SYNCHRONOSS TECHNOLOGIES INC NOTE 0.750 8/1 4,780,000 5,049,114 1.06%
31 VERIZON COMMUNICATIONS INC 94,290 4,901,176 1.03%
32 JOHNSON & JOHNSON 39,507 4,666,970 0.98%
33 IONIS PHARMACEUTICALS INC 124,813 4,573,148 0.96%
34 STILLWATER MNG CO 3,715,000 4,466,099 0.94%
35 LIVE NATION ENTERTAINMENT IN 3,875,000 4,197,400 0.88%
36 REPUBLIC SVCS INC 82,674 4,170,915 0.87%
37 REPUBLIC SERVICES INC 3,700,000 4,074,570 0.85%
38 PEPSICO INC 34,525 3,755,284 0.79%
39 BROADSOFT INC 3,047,000 3,752,350 0.79%
40 ALPHABET INC 4,617 3,588,748 0.75%
41 SEASPAN CORP 260,803 3,476,504 0.73%
42 BROCADE COMMUNICATIONS SYS I 3,420,000 3,388,297 0.71%
43 HOME DEPOT INC 25,349 3,261,924 0.68%
44 ADOBE INC 29,712 3,224,983 0.68%
45 MICROSOFT CORP 55,463 3,194,681 0.67%
46 PROCTER AND GAMBLE CO 34,257 3,074,564 0.64%
47 Wells Fargo & Co New 101,475 3,021,926 0.63%
48 PFIZER INC 89,200 3,021,190 0.63%
49 EXXON MOBIL CORP 33,902 2,958,985 0.62%
50 PNC Finl SVCS Group 101,355 2,956,525 0.62%
Page 1 of 18

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001415889-16-007278, filed 2016.10.17).

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.