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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 (2016Q3)
Portfolio Summary: 156 holdings with a total value of $1,518,315,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SYNCHRONOSS TECHNOLOGIES INC COM 1,320,721 54,387,000 3.58%
2 MAXLINEAR INC COM 2,465,298 49,972,000 3.29%
3 LogMeIn Inc 355,720 32,154,000 2.12%
4 WAGEWORKS INC COM 510,650 31,104,000 2.05%
5 WNS HLDGS LTD 993,598 29,758,000 1.96%
6 Wright Medical Group NV 1,141,521 28,002,000 1.84%
7 ENDOLOGIX INC 2,182,278 27,933,000 1.84%
8 GOGO INC 2,425,939 26,782,000 1.76%
9 INTERXION HOLDING N.V 725,878 26,291,000 1.73%
10 NOVADAQ TECHNOLOGIES INC 2,029,251 23,478,000 1.55%
11 BLACKHAWK NETWORK COM USD0.001 770,132 23,235,000 1.53%
12 ICU MED INC COM 174,967 22,112,000 1.46%
13 ClubCorp Hldgs Inc 1,527,889 22,109,000 1.46%
14 CHURCHILL DOWNS INC 150,421 22,014,000 1.45%
15 EXACT SCIENCES CORP 1,156,471 21,476,000 1.41%
16 On Assignment Inc 551,175 20,002,000 1.32%
17 NATIONAL GEN HLDGS CORP COM 898,687 19,987,000 1.32%
18 LENDINGTREE INC NEW COM 205,221 19,888,000 1.31%
19 TELIGENT INC NEW 2,524,985 19,190,000 1.26%
20 NUVASIVE INC COM 284,943 18,994,000 1.25%
21 Callidus Software Inc 1,022,309 18,759,000 1.24%
22 PENN NATL GAMING INC 1,335,727 18,126,000 1.19%
23 MDC PARTNERS INC 1,683,996 18,052,000 1.19%
24 CERUS CORP 2,877,566 17,870,000 1.18%
25 PARTY CITY HOLDCO INC COM 1,010,772 17,304,000 1.14%
26 MERIT MED SYS INC COM 704,052 17,101,000 1.13%
27 VASCO DATA SEC INTL INC 964,945 16,993,000 1.12%
28 CAESARSTONE LTD 439,247 16,564,000 1.09%
29 KORN FERRY COM NEW 774,200 16,258,000 1.07%
30 Vocera Communications Inc 956,924 16,172,000 1.07%
31 InnerWorkings Inc 1,715,899 16,164,000 1.06%
32 PACIRA BIOSCIENCES INC 458,448 15,688,000 1.03%
33 INFOBLOX INC 582,395 15,358,000 1.01%
34 INFINERA CORPORATION COM 1,695,612 15,311,000 1.01%
35 PLANET FITNESS INC 754,948 15,152,000 1.00%
36 MEDICINES CO 400,358 15,110,000 1.00%
37 BEACON ROOFING SUPPLY INC 356,683 15,006,000 0.99%
38 DYCOM INDS INC COM 181,068 14,808,000 0.98%
39 COHERENT INC COM 132,181 14,611,000 0.96%
40 SHUTTERFLY INC 326,547 14,577,000 0.96%
41 BARNES GROUP INC COM 359,445 14,575,000 0.96%
42 CHEGG INC COM 1,969,484 13,964,000 0.92%
43 NATIONAL CINEMEDIA INC 932,534 13,727,000 0.90%
44 BANKRATE INC DEL COM 1,524,836 12,931,000 0.85%
45 AMC ENTMT HLDGS INC 414,009 12,872,000 0.85%
46 LIGAND PHARMACEUTICALS INC 124,301 12,686,000 0.84%
47 BOFI HLDG INC 565,315 12,663,000 0.83%
48 Evolent Health, Inc. 501,539 12,348,000 0.81%
49 MASONITE INTL CORP NEW COM 198,265 12,326,000 0.81%
50 FINANCIAL ENGINES INC 413,046 12,272,000 0.81%
Page 1 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-004706, filed 2016.11.10).

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.