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Institutional Investment Manager
Informed Momentum Co LLC
Informed Momentum Co LLC (CIK: 0001510989) incorporated in California, located at 215 Highway 101, Solana Beach, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 310 holdings with a total value of $854,602,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 Silicon Laboratories Inc 60,816 3,285,000 0.38%
102 JAKKS PACIFIC INC 332,119 3,285,000 0.38%
103 LIFEPOINT HEALTH INC 37,645 3,273,000 0.38%
104 ROCKWELL MED INC 203,026 3,273,000 0.38%
105 KNOLL INC 130,574 3,268,000 0.38%
106 GUIDEWIRE SOFTWARE INC 61,711 3,266,000 0.38%
107 HOMESTREET INC COM 142,514 3,252,000 0.38%
108 EXPRESS INC COM 179,035 3,242,000 0.38%
109 ASTRONICS CORP 45,729 3,242,000 0.38%
110 HILL ROM HLDGS INC 59,659 3,241,000 0.38%
111 MASIMO CORP 83,449 3,233,000 0.38%
112 TABLEAU SOFTWARE INC 27,970 3,225,000 0.38%
113 DYCOM INDS INC 54,626 3,215,000 0.38%
114 CYTEC INDUSTRIES INC 53,082 3,213,000 0.38%
115 ADVANCED ENERGY INDS COM 116,745 3,209,000 0.38%
116 HEXCEL CORP NEW COM 64,395 3,203,000 0.37%
117 RENEWABLE ENERGY GROUP INC 274,920 3,178,000 0.37%
118 FORMFACTOR INC COM 345,460 3,178,000 0.37%
119 SANFILIPPO JOHN B & SON INC COM 61,090 3,171,000 0.37%
120 MYR GROUP INC DEL COM 102,087 3,161,000 0.37%
121 MEDIDATA SOLUTIONS INC 58,052 3,153,000 0.37%
122 PTC INC 76,802 3,150,000 0.37%
123 TELENAV INC COM 391,328 3,150,000 0.37%
124 RED ROBIN GOURMET BURGERS INC COM 36,605 3,141,000 0.37%
125 SENSIENT TECHNOLOGIES CORP 45,785 3,129,000 0.37%
126 APPLIED OPTOELECTRONICS INC COM 178,499 3,099,000 0.36%
127 J2 GLOBAL INC 45,524 3,093,000 0.36%
128 PDC ENERGY INC 57,658 3,093,000 0.36%
129 DIAMOND RESORTS INTL INC COM 96,457 3,043,000 0.36%
130 REPLIGEN CORP COM 73,448 3,031,000 0.35%
131 QLOGIC CORP 211,502 3,001,000 0.35%
132 AUTOBYTEL INC COM NEW 187,669 3,001,000 0.35%
133 APOGEE ENTERPRISES INC COM 56,999 3,000,000 0.35%
134 UNIVERSAL DISPLAY CORP 57,866 2,993,000 0.35%
135 POZEN INC 290,098 2,991,000 0.35%
136 NIMBLE STORAGE INC 106,286 2,982,000 0.35%
137 VIVINT SOLAR INC 244,222 2,972,000 0.35%
138 LSB INDS INC COM 72,504 2,961,000 0.35%
139 TROVAGENE INC 290,831 2,952,000 0.35%
140 APPLIED MICRO CIRCUITS ORD 436,803 2,948,000 0.34%
141 SPS COMM INC 44,563 2,932,000 0.34%
142 NV5 GLOBAL INC COM 118,042 2,864,000 0.34%
143 SIX FLAGS ENTMT CORP NEW 63,596 2,852,000 0.33%
144 VERINT SYS INC 46,590 2,830,000 0.33%
145 RUDOLPH TECHNOLOGIES INC 235,059 2,823,000 0.33%
146 UNITED ONLINE INC 179,755 2,817,000 0.33%
147 SONIC CORP 95,653 2,755,000 0.32%
148 LIGAND PHARMACEUTICALS INC 27,236 2,748,000 0.32%
149 OCLARO INC 1,209,949 2,734,000 0.32%
150 FOAMIX PHARMACEUTICALS LTD 261,161 2,677,000 0.31%
Page 3 of 7

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001144204-15-048855, filed 2015.08.13).

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.