Dark
Light
System
Institutional Investment Manager
Gotham Asset Management, LLC
Gotham Asset Management, LLC (CIK: 0001510387) incorporated in Delaware, located at 825 Third Avenue, Suite 1750, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 911 holdings with a total value of $7,679,369,000.
#
Name
Shares
Value ($)
%
Options
Notes
851 MOSAIC CO NEW 9,009 220,000 0.00%
852 INTRALINKS HLDGS INC 21,774 219,000 0.00%
853 SIGNATURE BANK 1,842 218,000 0.00%
854 STERICYCLE INC 2,714 217,000 0.00%
855 OLIN CORP 10,592 217,000 0.00%
856 INTRAWEST RESORTS HLDGS INCORPORATED 13,302 216,000 0.00%
857 AVANGRID INC COM 5,098 213,000 0.00%
858 FORD MTR CO DEL 17,551 212,000 0.00%
859 UMPQUA HLDGS CORP 14,072 212,000 0.00%
860 REGIONS FINANCIAL CORP NEW 21,145 209,000 0.00%
861 ROADRUNNER TRANSHOLDINGS INC 26,104 208,000 0.00%
862 SUPERIOR ENERGY SVCS INC 11,594 208,000 0.00%
863 KADANT INC 3,938 205,000 0.00%
864 FIRST HORIZON CORPORATION COM 13,468 205,000 0.00%
865 ESTERLINE TECHNOLOGIES CORP 2,673 203,000 0.00%
866 FEDERATED HERMES INC CL B 6,830 202,000 0.00%
867 POWELL INDS INC COM 5,045 202,000 0.00%
868 GENWORTH FINL INC 40,765 202,000 0.00%
869 NEOGENOMICS INC 24,403 201,000 0.00%
870 PRIMERICA INC 3,789 201,000 0.00%
871 HACKETT GROUP INC 12,179 201,000 0.00%
872 SILVER SPRING NETWORKS INC COM 14,144 201,000 0.00%
873 SLM CORP 26,296 196,000 0.00%
874 AMERICA MOVIL SAB DE CV 15,507 177,000 0.00%
875 FITBIT INC 11,521 171,000 0.00%
876 Corrections Cp Amer Ne 12,143 168,000 0.00%
877 NAVIENT 11,478 166,000 0.00%
878 SEQUENTIAL BRNDS GROUP INC N 20,679 165,000 0.00%
879 SCRIPPS E W CO OHIO CL A NEW 10,089 160,000 0.00%
880 KIMBALL INTL INC 12,063 156,000 0.00%
881 RAPTOR PHARMACEUTICAL CORP 16,756 150,000 0.00%
882 HUNTINGTON BANCSHARES INC 14,771 146,000 0.00%
883 TELEFONAKTIEBOLAGET LM ERICS 20,138 145,000 0.00%
884 INVESTORS BANCORP INC NEW 12,011 144,000 0.00%
885 DARLING INGREDIENTS INC 10,666 144,000 0.00%
886 ACCO BRANDS CORPORATION COM 14,942 144,000 0.00%
887 CPI CARD GROUP INC 22,573 136,000 0.00%
888 CORCEPT THERAPEUTICS INC 20,908 136,000 0.00%
889 MANITOWOC INC COM 28,157 135,000 0.00%
890 TETRA TECHNOLOGIES INC DEL COM 21,733 133,000 0.00%
891 TELIGENT INC NEW 16,965 129,000 0.00%
892 ENTRAVISION COMMUNICATIONS C 16,627 127,000 0.00%
893 INNERWORKINGS INC 12,914 122,000 0.00%
894 STUDENT TRANSN INC 20,325 122,000 0.00%
895 CELADON GROUP INC 13,167 115,000 0.00%
896 INTELSAT S A COM 41,829 113,000 0.00%
897 ARRAY BIOPHARMA INC 16,705 113,000 0.00%
898 ARATANA THERAPEUTICS INC 12,017 112,000 0.00%
899 AVID TECHNOLOGY 13,286 105,000 0.00%
900 COMPANHIA DE SANEAMENTO BASI 11,282 104,000 0.00%
Page 18 of 19

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001398344-16-020754, filed 2016.11.14).

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.