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Institutional Investment Manager
Lisanti Capital Growth, LLC
Lisanti Capital Growth, LLC (CIK: 0001424467) incorporated in Delaware, located at 777 Third Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 93 holdings with a total value of $198,930,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 XPO LOGISTICS INC 131,040 4,936,000 2.48%
2 PACIRA BIOSCIENCES INC 48,280 4,679,000 2.35%
3 BURLINGTON STORES INC 115,220 4,593,000 2.31%
4 SPIRIT AIRLS INC 61,125 4,226,000 2.12%
5 Knight Transportation Inc 152,770 4,184,000 2.10%
6 MONOLITHIC PWR SYS INC COM 92,200 4,061,000 2.04%
7 TEAM HEALTH HOLDINGS INCORPORATED 65,600 3,804,000 1.91%
8 Integrated Device Technology I 237,735 3,792,000 1.91%
9 ACADIA HEALTHCARE COMPANY IN 75,925 3,682,000 1.85%
10 H&E EQUIPMENT SERVICES LLC COM 90,525 3,646,000 1.83%
11 CAVIUM INC 71,365 3,549,000 1.78%
12 U S SILICA HLDGS INC COM 54,515 3,408,000 1.71%
13 TUESDAY MORNING CORP 171,580 3,330,000 1.67%
14 ARUBA NETWORKS INC 152,400 3,289,000 1.65%
15 MATTRESS FIRM HOLDING CORP 54,685 3,284,000 1.65%
16 FIESTA RESTAURANT GROUP INC COM 65,580 3,258,000 1.64%
17 Textura Corp 121,705 3,213,000 1.62%
18 Lifepoint Hosp Inc 45,865 3,173,000 1.60%
19 LogMeIn Inc 65,450 3,015,000 1.52%
20 SYNCHRONOSS TECHNOLOGIES INC COM 65,300 2,989,000 1.50%
21 SAIA INC COM 57,605 2,855,000 1.44%
22 MARKETO INC COM 87,730 2,834,000 1.42%
23 VERIFONE SYS INC 80,790 2,778,000 1.40%
24 BONANZA CREEK ENERGY INC 48,805 2,777,000 1.40%
25 AMSURG CORP 54,425 2,724,000 1.37%
26 CONSTANT CONTACT INC 99,645 2,704,000 1.36%
27 NUVASIVE INC COM 77,085 2,688,000 1.35%
28 DEXCOM 66,732 2,669,000 1.34%
29 ICON PLC 46,050 2,635,000 1.32%
30 SPECTRANETICS CORP 98,895 2,628,000 1.32%
31 BIG LOTS INC COM 60,165 2,590,000 1.30%
32 ACADIA PHARMACEUTICALS INC COM 103,550 2,564,000 1.29%
33 ZELTIQ AESTHETICS INCORPORATED 112,680 2,550,000 1.28%
34 LDR HLDG CORP COM 78,408 2,441,000 1.23%
35 BANK OF THE OZARKS 76,285 2,405,000 1.21%
36 PROOFPOINT INC 64,470 2,394,000 1.20%
37 AKORN INC 63,040 2,286,000 1.15%
38 SONIC CORP 102,200 2,285,000 1.15%
39 Headwaters Inc 181,630 2,278,000 1.15%
40 MANHATTAN ASSOCIATES INC 66,790 2,232,000 1.12%
41 WESTERN ALLIANCE BANCORP COM 91,465 2,186,000 1.10%
42 LIFELOCK INC 151,840 2,170,000 1.09%
43 G III APPAREL GROUP LTD COM 26,174 2,169,000 1.09%
44 JETBLUE AIRWAYS CORP 197,180 2,094,000 1.05%
45 WRIGHT MEDICAL GROUP N.V. 86,350 2,064,000 1.04%
46 VEECO INSTRS INC DEL COM 58,565 2,047,000 1.03%
47 FLAMEL TECHNOLOGIES SA SPONSORED ADR 140,272 2,007,000 1.01%
48 EXAMWORKS GROUP INC 60,461 1,980,000 1.00%
49 GENTHERM INC COM 45,545 1,923,000 0.97%
50 ELECTRONICS FOR IMAGING INC 43,440 1,919,000 0.96%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-14-002207, filed 2014.11.12).

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.