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Institutional Investment Manager
PDT Partners, LLC
PDT Partners, LLC (CIK: 0001564702) incorporated in Delaware, located at 60 Columbus Circle, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001564702-14-000011) filed in 2014.11.14
#
Name
Shares
Value ($)
%
Options
Notes
51 INTERNATIONAL BUSINESS MACHS 79,415 15,075 0.39%
52 EDWARDS LIFESCIENCES CORP 146,736 14,989 0.39%
53 MATTEL INC 458,824 14,063 0.37%
54 BORGWARNER INC 267,107 14,052 0.37%
55 CAPITAL ONE FINL CORP 170,570 13,922 0.36%
56 GT ADVANCED TECHNOLOGIES INC COM 1,272,300 13,779 0.36%
57 ABBOTT LABS 321,621 13,376 0.35%
58 GLAXOSMITHKLINE PLC 280,241 12,883 0.34%
59 KIMBERLY CLARK CORP 119,430 12,847 0.34%
60 BLACKROCK INC 38,447 12,623 0.33%
61 LEAR CORP 144,202 12,460 0.33%
62 PETSMART 176,550 12,374 0.32%
63 GENERAL DYNAMICS CORP 95,830 12,179 0.32%
64 CONAGRA BRANDS INC 358,153 11,833 0.31%
65 JOHNSON & JOHNSON 110,346 11,762 0.31%
66 MEDIVATION INC 117,389 11,606 0.30%
67 HCA HOLDINGS INC 163,686 11,543 0.30%
68 ISHARES NASDAQ BIOTECHNOLOGY ETF 19,499 11,473 0.30%
69 CONCHO RESOURCES 91,140 11,428 0.30%
70 Monster Beverage Corpo 123,693 11,339 0.30%
71 SANDISK CORP 115,498 11,313 0.30%
72 LUMEN TECHNOLOGIES INC 275,800 11,277 0.29%
73 Spectra Energy Corp Com 287,045 11,269 0.29%
74 Equinix Inc New 52,827 11,225 0.29%
75 FMC TECHNOLOGIES INC 205,084 11,138 0.29%
76 NIKE INC 124,551 11,110 0.29%
77 SALIX PHARMACEUTICALS INC 70,944 11,084 0.29%
78 KEURIG GREEN MTN INC 85,056 11,068 0.29%
79 VIACOM INC NEW 142,323 10,950 0.29%
80 ALLIANCE DATA SYSTEMS CORP 44,065 10,940 0.29%
81 ORACLE CORP 285,499 10,929 0.29%
82 AVIS BUDGET GROUP 195,545 10,733 0.28%
83 PRUDENTIAL FINL INC 121,472 10,682 0.28%
84 Hewlett Packard Co 299,220 10,613 0.28%
85 Ashland Inc New 101,431 10,559 0.28%
86 SHERWIN WILLIAMS CO 48,066 10,526 0.27%
87 CBS CORP NEW 196,462 10,511 0.27%
88 CHESAPEAKE ENERGY CORP 451,852 10,388 0.27%
89 GANNETT CO. 340,335 10,098 0.26%
90 AMERISOURCEBERGEN CORP 130,559 10,092 0.26%
91 SL GREEN RLTY CORP 98,711 10,001 0.26%
92 UNIVERSAL HLTH SVCS INC 95,543 9,984 0.26%
93 XL Group plc 299,734 9,942 0.26%
94 FLUOR CORP NEW 148,203 9,898 0.26%
95 UNITED PARCEL SERVICE INC 100,694 9,897 0.26%
96 F5 NETWORKS INC 83,189 9,878 0.26%
97 STEEL DYNAMICS INC 436,232 9,863 0.26%
98 W P CAREY INC 154,125 9,829 0.26%
99 PACCAR INC 171,390 9,748 0.25%
100 AMAZON COM INC 29,876 9,633 0.25%
Page 2 of 25
New Holding filing (0001564702-15-000022) filed in 2015.06.11
#
Name
Shares
Value ($)
%
Options
Notes
1 VALERO ENERGY CORP NEW 594,236 27,495 23.76%
2 AVAGO TECHNOLOGIES LTD SHS 192,160 16,718 14.45%
3 BUNGE LIMITED 110,880 9,339 8.07%
4 Intuit Inc 27,080 5,627 4.86%
5 Washington Prime Group 318,910 5,575 4.82%
6 CRANE CO 80,709 5,102 4.41%
7 Linear Technology Corp 101,112 4,488 3.88%
8 WHITING PETE CORP NEW 53,594 4,156 3.59%
9 WATERS CORP 34,799 3,449 2.98%
10 NORWEGIAN CRUISE LINE HLDG L 84,841 3,056 2.64%
11 NORTH ATLANTIC DRILLING LTD 437,658 2,915 2.52%
12 WASTE MGMT INC DEL 54,618 2,596 2.24%
13 AUTOLIV INC 26,098 2,399 2.07%
14 LINCOLN NATL CORP IND 44,433 2,381 2.06%
15 VALMONT INDS INC 13,425 1,811 1.57%
16 HOME LN SERVICING SOLUTIONS LT ORD SHS 80,160 1,699 1.47%
17 ENANTA PHARMACEUTICALS INC 36,096 1,428 1.23%
18 NOBLE CORP PLC 57,475 1,277 1.10%
19 WILEY JOHN SONS INC 20,568 1,154 1.00%
20 VALSPAR CORP 13,418 1,060 0.92%
21 WHITEWAVE FOODS CO 26,400 959 0.83%
22 EXAMWORKS GROUP INC COM 29,071 952 0.82%
23 EVERTEC INC COM 42,400 947 0.82%
24 TARO PHARMACEUTICAL INDS LTD 5,300 815 0.70%
25 DORIAN LPG LTD 43,337 772 0.67%
26 INTREXON CORPORATION 40,735 757 0.65%
27 GROUPE CGI INC 21,356 721 0.62%
28 FURMANITE CORPORATION 84,067 568 0.49%
29 ENCORE WIRE CORP 14,400 534 0.46%
30 ERA GROUP INC COM 22,208 483 0.42%
31 WASHINGTON FED INC 23,694 482 0.42%
32 CRACKER BARREL OLD CTRY STOR 4,366 451 0.39%
33 RADWARE LTD 24,323 430 0.37%
34 LOGITECH INTL S A 32,738 421 0.36%
35 AUTONATION INC 8,243 415 0.36%
36 Union Bankshares Corporation 17,560 406 0.35%
37 EVERBANK FINL CORP COM 22,560 398 0.34%
38 INTREPID POTASH INC 21,411 331 0.29%
39 Exactech Inc 11,523 264 0.23%
40 WATERSTONE FINL INC MD 20,716 239 0.21%
41 NORDIC AMERICAN TANKERS LIMI 21,800 173 0.15%
42 EVINE LIVE INC 31,000 159 0.14%
43 WHITESTONE REIT 11,151 155 0.13%
44 EXAR CORPORATION 13,011 116 0.10%
45 CHINA INFORMATION TECHNOLOGY 10,700 42 0.04%
Restatement filing (0001564702-15-000021) filed in 2015.06.11
#
Name
Shares
Value ($)
%
Options
Notes
951 INDEPENDENT BK GROUP INC 9,110 432 0.01%
952 SUNOPTA INC 35,800 432 0.01%
953 WSFS FINL CORPORATION 6,019 431 0.01%
954 MARTEN TRANS LTD COM 24,136 430 0.01%
955 EMCOR GROUP INC 10,678 427 0.01%
956 EXPRESS SCRIPTS HLDG CO 6,000 424 0.01%
957 Equity One Inc Com 19,582 424 0.01%
958 ACTUA CORP 26,403 423 0.01%
959 CIENA CORP 25,109 420 0.01%
960 ORCHID IS CAP INC 31,591 419 0.01%
961 HERSHA HOSPITALITY TR 65,300 416 0.01%
962 TWO HBRS INVT CORP 42,880 415 0.01%
963 HOVNANIAN ENTERPRISES INC 112,500 413 0.01%
964 PPG INDS INC 2,096 412 0.01%
965 ARATANA THERAPEUTICS INC 40,867 410 0.01%
966 MSC INDL DIRECT INC 4,790 409 0.01%
967 MEDICAL PPTYS TRUST INC 33,400 409 0.01%
968 WHITE MOUNTAINS INSURANCE GRP LTD 648 408 0.01%
969 TAL ED GROUP 11,688 408 0.01%
970 VERSARTIS INC 21,421 407 0.01%
971 MERIDIAN BIOSCIENCE INC 22,933 406 0.01%
972 CHESAPEAKE UTILS CORP 9,712 405 0.01%
973 NATIONAL PRESTO INDS INC COM 6,667 405 0.01%
974 PVH CORPORATION 3,332 404 0.01%
975 AVIV REIT INC 15,265 402 0.01%
976 DIAMONDROCK HOSPITALITY CO COM 31,400 398 0.01%
977 RADNET INC COM 59,900 397 0.01%
978 DEL FRISCOS RESTAURANT GROUP COM 20,747 397 0.01%
979 CAMPUS CREST CMNTYS INC 61,868 396 0.01%
980 Textura Corp 15,000 396 0.01%
981 GENPACT LIMITED 24,266 396 0.01%
982 BRIXMOR PROPERTY 17,753 395 0.01%
983 EQUITY COMWLTH COM SH BEN INT 15,277 393 0.01%
984 CHINA BIOLOGIC PRODS INC 7,289 393 0.01%
985 HYATT HOTELS CORP COM CL A 6,475 392 0.01%
986 FIDELITY NATIONAL FINANCIAL 14,100 391 0.01%
987 BUILD A BEAR WORKSHOP COM 29,800 390 0.01%
988 BRF SA SPONSORED ADR 16,400 390 0.01%
989 BANCORPSOUTH INC 19,332 389 0.01%
990 MEDIFAST INC COM 11,759 386 0.01%
991 ORASURE TECHNOLOGIES INC 53,200 384 0.01%
992 Callidus Software Inc 31,888 383 0.01%
993 IMAX CORP 13,943 383 0.01%
994 DILLARDS INC 3,501 382 0.01%
995 UNIFI INC COM NEW 14,757 382 0.01%
996 AMERICAN CAP LTD 26,900 381 0.01%
997 INTER PARFUMS INC COM 13,700 377 0.01%
998 DINE BRANDS GLOBAL INC 4,624 377 0.01%
999 MSA SAFETY INC 7,600 375 0.01%
1000 DIGI INTL INC COM 49,700 373 0.01%
Page 20 of 25