Dark
Light
System
Institutional Investment Manager
Point72 Hong Kong Ltd
Point72 Hong Kong Ltd (CIK: 0001599822), located at Suites 1102-1110, 11th FL. And 12th FL., Hong Kong, K3. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 500 holdings with a total value of $86,235,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BOSTON SCIENTIFIC CORP 116,341 2,719,000 3.15%
2 COGNIZANT TECHNOLOGY SOLUTIO 44,121 2,525,000 2.93%
3 DISCOVERY COMMUNICATNS NEW 81,077 2,046,000 2.37%
4 CELGENE CORP 19,646 1,938,000 2.25%
5 TESLA INC 8,584 1,822,000 2.11%
6 BIOGEN INC 7,346 1,776,000 2.06%
7 PALO ALTO NETWORKS 14,322 1,756,000 2.04%
8 ELECTRONIC ARTS INC 21,191 1,605,000 1.86%
9 STERICYCLE 15,390 1,602,000 1.86%
10 VEEVA SYS INC 41,333 1,410,000 1.64%
11 SPRINT CORP 286,166 1,296,000 1.50%
12 AVIS BUDGET GROUP 39,370 1,269,000 1.47%
13 Hertz Global Holdings, Inc. 111,751 1,237,000 1.43%
14 UNITED STATES 100,000 1,157,000 1.34%
15 MGM RESORTS INTERNATIONAL 49,252 1,115,000 1.29%
16 MASTERCARD INCORPORATED 12,400 1,092,000 1.27%
17 VISA INC 14,600 1,083,000 1.26%
18 CONSTELLATION BRANDS INC 6,261 1,036,000 1.20%
19 NORWEGIAN CRUISE LINE HLDG LTD SHS 25,816 1,029,000 1.19%
20 VMWARE A 17,830 1,020,000 1.18%
21 IDEXX LAB 10,906 1,013,000 1.17%
22 INCYTE 12,591 1,007,000 1.17%
23 TOYOTA MOTOR CORP 10,000 1,000,000 1.16%
24 ATHENA HEALTH INC. 6,789 937,000 1.09%
25 WHITEWAVE FOODS 19,879 933,000 1.08%
26 Pandora Media Inc 71,533 891,000 1.03%
27 ALKERMES PLC SHS 20,252 875,000 1.01%
28 ACTIVISION BLIZZARD INC 22,000 872,000 1.01%
29 MICRON TECHNOLOGY INC 60,000 826,000 0.96%
30 KATE SPADE & CO 38,878 801,000 0.93%
31 ETRADE GROUP 33,998 799,000 0.93%
32 COSTAR GROUP 3,512 768,000 0.89%
33 LINKEDIN CORP COM CL A 3,977 753,000 0.87%
34 REGENERON PHARMACEUTICALS 2,120 740,000 0.86%
35 CASEY'S GENERAL STORES INC COM 5,561 731,000 0.85%
36 SPLUNK 13,300 721,000 0.84%
37 YELP INC 23,065 700,000 0.81%
38 NETEASE INC 3,500 676,000 0.78%
39 TOLL BROTHERS INC 24,651 663,000 0.77%
40 GULFPORT ENERGY CORP 20,486 640,000 0.74%
41 TAHOE RES INC 37,136 556,000 0.64%
42 MIDDLEBY CORP 4,303 496,000 0.58%
43 DELPHI AUTOMOTIVE PLC 7,400 463,000 0.54%
44 MOLSON COORS BREWING CO 4,400 445,000 0.52%
45 MONSANTO CO NEW 4,300 445,000 0.52%
46 ARROW ELECTRONICS 7,179 444,000 0.51%
47 FOOT LOCKER INC 8,100 444,000 0.51%
48 ENTERGY CORP NEW 5,300 431,000 0.50%
49 ALLIANT ENERGY CORP 10,700 425,000 0.49%
50 PNC FINL SVCS GROUP INC 5,200 423,000 0.49%
Page 1 of 10

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-16-076747, filed 2016.08.15).

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.