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Institutional Investment Manager
TIVERTON ASSET MANAGEMENT LLC
TIVERTON ASSET MANAGEMENT LLC (CIK: 0001568680) incorporated in Delaware, located at 2711 Centerville Road, Wilimington, DE. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001568680-14-000004) filed in 2014.11.13
#
Name
Shares
Value ($)
%
Options
Notes
51 GILEAD SCIENCES INC COM 700,000 74,515 1.70%
52 HANGER INC COM NEW 492,193 10,101 0.23%
53 HEALTHSTREAM INC 350,000 8,404 0.19%
54 HEICO CORP NEW 536,305 21,614 0.49%
55 HIBBETT SPORTS INC 350,000 14,923 0.34%
56 HOME DEPOT INC COM 300,000 27,522 0.63%
57 HORNBECK OFFSHORE SVCS INC N 150,000 4,909 0.11%
58 IBERIABANK CORP 383,200 23,957 0.55%
59 ILLINOIS TOOL WKS INC 400,000 33,769 0.77%
60 INTEL CORP COM 2,500,000 87,050 1.98%
61 INTERCONTINENTAL EXCHANGE I 200,000 39,010 0.89%
62 INTERNATIONAL BUSINESS MACHS COM 200,000 37,967 0.87%
63 INTUITIVE SURGICAL INC COM NEW 100,000 46,184 1.05%
64 ITRON INC 200,000 7,861 0.18%
65 JABIL INC 1,318,150 26,588 0.61%
66 JOHNSON & JOHNSON COM 600,000 63,954 1.46%
67 KIRBY CORP 300,000 35,356 0.81%
68 KNIGHT TRANSN INC 750,000 20,543 0.47%
69 LKQ CORP COM 4,300,000 114,337 2.61%
70 MEDIVATION INC 400,000 39,549 0.90%
71 MISTRAS GROUP INC 200,000 4,080 0.09%
72 MYRIAD GENETICS INC 475,000 18,323 0.42%
73 Masimo Corporation 360,200 7,665 0.17%
74 Medidata Solutions, Inc. 175,000 7,749 0.18%
75 Microsoft Corp. 2,300,000 106,628 2.43%
76 NEOGEN CORP COM 230,926 9,122 0.21%
77 NEWLINK GENETICS CORP 400,000 8,568 0.20%
78 NORDSON CORP 350,000 26,624 0.61%
79 NXSTAGE MEDICAL INC 700,000 9,193 0.21%
80 Nike Inc Class B 600,000 53,520 1.22%
81 O REILLY AUTOMOTIVE INC NEW 500,000 75,179 1.71%
82 OREXIGEN THERAPEUTICS INC COM 700,000 2,980 0.07%
83 Oracle 2,000,000 76,560 1.75%
84 Otonomy Inc. 136,822 3,284 0.07%
85 Oxford Immunotec Global PLC 512,100 7,822 0.18%
86 PRICE T ROWE GROUP INC 500,000 39,200 0.89%
87 PROTO LABS INC 59,400 4,099 0.09%
88 Pegasystems Inc. 1,393,685 26,634 0.61%
89 Potash Corp of Saskatchewan 279,396 9,656 0.22%
90 Q2 Holdings, Inc. 251,200 3,517 0.08%
91 QUALCOMM INC COM 1,000,000 74,770 1.70%
92 ROSS STORES INC COM 600,000 45,349 1.03%
93 SCHEIN HENRY INC 600,000 69,883 1.59%
94 SMITH A O 750,000 35,462 0.81%
95 SOLERA HOLDINGS INC 670,872 37,812 0.86%
96 SOUTHWESTERN 1,000,000 34,950 0.80%
97 SPS COMMERCE INC 48,700 2,588 0.06%
98 STAAR SURGICAL CO 800,000 8,507 0.19%
99 STERICYCLE INC COM 530,000 61,776 1.41%
100 SUNCOR ENERGY INC NEW 800,000 28,920 0.66%
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