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Institutional Investment Manager
Spark Investment Management LLC
Spark Investment Management LLC (CIK: 0001554871) incorporated in Delaware, located at 150 East 58th Street, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 698 holdings with a total value of $716,273,000.
#
Name
Shares
Value ($)
%
Options
Notes
651 FISERV INC 41,500 3,295,000 0.46%
652 VISHAY INTERTECHNOLOGY INC 240,900 3,329,000 0.46%
653 SYMANTEC CORP 143,100 3,342,000 0.47%
654 LEIDOS HLDGS INC 80,300 3,369,000 0.47%
655 TWENTY FIRST CENTY FOX INC 102,600 3,373,000 0.47%
656 CVR ENERGY INC COM 79,400 3,379,000 0.47%
657 NETGEAR INC 102,800 3,380,000 0.47%
658 ADVANCED DRAIN SYS INC DEL 113,900 3,410,000 0.48%
659 CARDINAL HEALTH INC 38,100 3,439,000 0.48%
660 CELGENE CORP 30,800 3,550,000 0.50%
661 SOUTHWEST AIRLS CO 81,248 3,599,000 0.50%
662 ENPHASE ENERGY INC 276,200 3,640,000 0.51%
663 OCULAR THERAPEUTIX INC 87,500 3,672,000 0.51%
664 PBF ENERGY INC 108,600 3,683,000 0.51%
665 AMGEN INC 23,300 3,721,000 0.52%
666 MICHAELS COS INC 139,500 3,773,000 0.53%
667 SWIFT TRANSN CO 147,700 3,843,000 0.54%
668 HYATT HOTELS CORP COM CL A 65,200 3,861,000 0.54%
669 TESORO CORP 42,500 3,879,000 0.54%
670 ELECTRONIC ARTS INC 66,700 3,921,000 0.55%
671 ZAFGEN INC COM 101,636 4,023,000 0.56%
672 Lifepoint Hospitals Inc 96,900 4,102,000 0.57%
673 COMCAST CORP NEW 74,100 4,154,000 0.58%
674 SCIENCE APPLICATNS INTL CP N 81,100 4,164,000 0.58%
675 WESTERN REFNG INC 84,500 4,173,000 0.58%
676 CAMERON INTERNATIONAL COMPANY 94,000 4,241,000 0.59%
677 ROCKWELL AUTOMATION INC 36,900 4,280,000 0.60%
678 ABBVIE INC 73,300 4,290,000 0.60%
679 GILEAD SCIENCES INC 44,200 4,336,000 0.61%
680 UNITED THERAPEUTICS CORP DEL 26,700 4,603,000 0.64%
681 AVG Technologies NV 217,300 4,704,000 0.66%
682 NVIDIA CORPORATION 226,000 4,727,000 0.66%
683 BOISE CASCADE CO DEL COM 129,800 4,862,000 0.68%
684 CHINA BIOLOGIC PRODS INC 52,800 5,031,000 0.70%
685 AFFYMETRIX INCOC-CAP STK CASH MGREFF 4/1/16 1 OLDUSD 14.00 PER SHARE 400,746 5,033,000 0.70%
686 VMWARE INC 62,500 5,125,000 0.72%
687 JETBLUE AIRWAYS CORP 266,900 5,135,000 0.72%
688 DELEK US HLDGS INC COM 129,600 5,151,000 0.72%
689 ARUBA NETWORKS INC 211,200 5,170,000 0.72%
690 EXPEDIA INC DEL 60,300 5,674,000 0.79%
691 CST BRANDS INC 134,200 5,881,000 0.82%
692 MARRIOTT VACATIONS WORLDWIDE C COM 76,800 6,224,000 0.87%
693 CENTENE CORP DEL 95,900 6,779,000 0.95%
694 AMERISOURCEBERGEN CORP 61,000 6,933,000 0.97%
695 LEAR CORP 64,900 7,192,000 1.00%
696 MARATHON PETE CORP 72,300 7,402,000 1.03%
697 PHIBRO ANIMAL HEALTH CORP CL A COM 219,400 7,762,000 1.08%
698 MURPHY USA INC COM 124,700 9,024,000 1.26%
Page 14 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-15-018987, filed 2015.05.12).

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.