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Institutional Investment Manager
Elk Creek Partners, LLC
Elk Creek Partners, LLC (CIK: 0001592405) incorporated in Delaware, located at 44 Cook St., Denver, CO. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 152 holdings with a total value of $1,237,657,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 BIOSPECIFICS TECHNOLOGIES CO 106,520 4,638,000 0.37%
102 MALIBU BOATS INCORPORATED COM CLASS A 329,464 4,606,000 0.37%
103 CARLISLE COS INC 52,656 4,601,000 0.37%
104 HUB GROUP INC CL A 126,054 4,590,000 0.37%
105 PAPA MURPHYS HLDGS INC 311,165 4,568,000 0.37%
106 VANTIV INC 96,889 4,352,000 0.35%
107 TENNECO INC 95,661 4,283,000 0.35%
108 MALLINCKRODT PUB LTD CO 66,787 4,270,000 0.35%
109 FLEETMATICS GROUP PLC 86,687 4,255,000 0.34%
110 HEXCEL CORP NEW COM 94,794 4,252,000 0.34%
111 AVIS BUDGET GROUP 95,750 4,182,000 0.34%
112 INFOBLOX INC 257,751 4,119,000 0.33%
113 MAXPOINT INTERACTIVE 1,005,153 4,101,000 0.33%
114 CROSS CTRY HEALTHCARE INC COM 301,130 4,098,000 0.33%
115 HORIZON PHARMA PLC 200,949 3,983,000 0.32%
116 WEBSTER FINL CORP CONN 107,462 3,829,000 0.31%
117 LL FLOORING HOLDINGS INC COM 288,098 3,786,000 0.31%
118 POZEN INC 639,641 3,732,000 0.30%
119 KIRBY CORP 60,070 3,721,000 0.30%
120 Black Knight Financial Services Inc 114,201 3,717,000 0.30%
121 EVINE LIVE INC 1,330,192 3,485,000 0.28%
122 PERKINELMER INC 75,012 3,448,000 0.28%
123 REGAL BELOIT CORP 57,966 3,272,000 0.26%
124 TRIMBLE INC 166,360 2,732,000 0.22%
125 SOLERA HOLDINGS INC 40,437 2,184,000 0.18%
126 SBA COMMUNICATIONS CORP 19,711 2,065,000 0.17%
127 PARK OHIO HLDGS CORP COM 54,439 1,571,000 0.13%
128 ALLIANCE DATA SYSTEMS CORP 6,004 1,555,000 0.13%
129 SIRIUS XM HOLDINGS INC 397,612 1,487,000 0.12%
130 VERTEX PHARMACEUTICALS INC 12,457 1,297,000 0.10%
131 BOOT BARN HLDGS INC 70,000 1,290,000 0.10%
132 CBRE GROUP INC 39,871 1,276,000 0.10%
133 SNAP ON INC 6,904 1,042,000 0.08%
134 ENDO INTL PLC 14,958 1,036,000 0.08%
135 ADVANCE AUTO PARTS INC 5,086 964,000 0.08%
136 EXPEDITORS INTL WASH INC 20,161 949,000 0.08%
137 PVH CORPORATION 8,955 913,000 0.07%
138 MGM RESORTS INTERNATIONAL 48,376 893,000 0.07%
139 PRA GROUP INC 15,825 837,000 0.07%
140 UNITED RENTALS INC 13,707 823,000 0.07%
141 MOBILEYE N V AMSTELVEEN 17,942 816,000 0.07%
142 SIRONA DENTAL SYS INC 8,605 803,000 0.06%
143 ENVISION HEALTHCARE HLDGS INC 21,412 788,000 0.06%
144 F5 NETWORKS INC 6,781 785,000 0.06%
145 BIOMARIN PHARMACEUTICAL INC 7,325 771,000 0.06%
146 WESTROCK CO 14,157 728,000 0.06%
147 GENPACT LIMITED 30,467 719,000 0.06%
148 EQUIFAX INC 6,443 626,000 0.05%
149 IMS HEALTH HLDS INC 17,048 496,000 0.04%
150 RANGE RES CORP 14,157 455,000 0.04%
Page 3 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-15-002280, filed 2015.11.12).

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.