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Institutional Investment Manager
Parametrica Management Ltd
Parametrica Management Ltd (CIK: 0001535110), located at Unit 909, Harbour Centre, Wanchai. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 63 holdings with a total value of $17,188,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 TEEKAY CORPORATION 7,810 518,000 3.01%
2 WESTLAKE CHEM CORP 5,938 514,000 2.99%
3 CINTAS CORP 7,281 514,000 2.99%
4 FORD MTR CO DEL 34,362 508,000 2.96%
5 ABBOTT LABS 11,778 490,000 2.85%
6 MURPHY OIL 8,507 484,000 2.82%
7 EXXON MOBIL CORP 5,080 478,000 2.78%
8 PHILLIPS 66 5,697 463,000 2.69%
9 KATE SPADE & CO 17,112 449,000 2.61%
10 DREAMWORKS ANIMATION SKG INC 16,207 442,000 2.57%
11 CHEVRON CORP NEW 3,680 439,000 2.55%
12 MSCI INC 9,044 425,000 2.47%
13 AVIS BUDGET GROUP 7,310 401,000 2.33%
14 OIL STS INTL INC 6,172 382,000 2.22%
15 MATTEL INC 12,018 368,000 2.14%
16 NATIONAL OILWELL VARCO INC 4,823 367,000 2.14%
17 AMERICAN TOWER CORP NEW 3,817 357,000 2.08%
18 HOLLYFRONTIER CORP 7,984 349,000 2.03%
19 LEGG MASON INC 6,774 347,000 2.02%
20 LEAR CORP 3,779 327,000 1.90%
21 VALERO ENERGY CORP NEW 6,928 321,000 1.87%
22 CLOVIS ONCOLOGY INC 6,983 317,000 1.84%
23 HESS CORP 3,145 297,000 1.73%
24 PEABODY ENERGY CORP 22,135 274,000 1.59%
25 OCCIDENTAL PETE CORP DEL 2,840 273,000 1.59%
26 SUNCOKE ENERGY INC COM 11,857 266,000 1.55%
27 GLOBAL PMTS INC 3,785 264,000 1.54%
28 CAMERON INTERNATIONAL COMPANY 3,959 263,000 1.53%
29 ATWOOD OCEANICS INC 6,007 262,000 1.52%
30 PHILIP MORRIS INTL INC 3,088 258,000 1.50%
31 CAL MAINE FOODS INC 2,800 250,000 1.45%
32 C&J ENERGY SVCS INC 8,185 250,000 1.45%
33 DELPHI AUTOMOTIVE PLC 4,075 250,000 1.45%
34 TE CONNECTIVITY LTD 4,400 243,000 1.41%
35 PACIRA PHARMACEUTICALS INC 2,425 235,000 1.37%
36 CIMAREX ENERGY 1,846 234,000 1.36%
37 GENERAL MTRS CO 7,218 231,000 1.34%
38 SOUTHWESTERN ENERGY CO 6,553 229,000 1.33%
39 KINDRED HEALTHCARE INC 11,451 222,000 1.29%
40 SONIC AUTOMOTIVE INC CL A 9,032 221,000 1.29%
41 WABCO HLDGS INC 2,418 220,000 1.28%
42 DELEK US HLDGS INC COM 6,606 219,000 1.27%
43 VANDA PHARMACEUTICALS INC COM 21,017 218,000 1.27%
44 BRUKER CORP 11,352 210,000 1.22%
45 MARATHON PETE CORP 2,469 209,000 1.22%
46 AMKOR TECHNOLOGY INC 24,482 206,000 1.20%
47 VAIL RESORTS INC 2,355 204,000 1.19%
48 MASTERCARD INCORPORATED 2,717 201,000 1.17%
49 AVANIR PHARMACEUTICALS INC CL 16,296 194,000 1.13%
50 SAPIENT CORP 13,535 189,000 1.10%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-14-002040, filed 2014.10.28).

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.