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Institutional Investment Manager
Engineers Gate Manager LP
Engineers Gate Manager LP (CIK: 0001620220) incorporated in Delaware, located at 767 5th Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Portfolio Summary: 612 holdings with a total value of $1,007,239,000.
#
Name
Shares
Value ($)
%
Options
Notes
551 TUPPERWARE BRANDS CORP 66,126 4,147,000 0.41%
552 Wright Medical Group NV 134,298 4,179,000 0.41%
553 MEREDITH CORP COM 64,839 4,189,000 0.42%
554 TRACTOR SUPPLY CO 60,810 4,194,000 0.42%
555 PULTE GROUP INC 178,348 4,200,000 0.42%
556 ZIONS BANCORPORATION 100,283 4,212,000 0.42%
557 Tribune Media Company 113,153 4,217,000 0.42%
558 XL GROUP LTD 105,879 4,220,000 0.42%
559 KB HOME 212,607 4,227,000 0.42%
560 PHILIP MORRIS INTL INC 37,479 4,231,000 0.42%
561 FIAT CHRYSLER AUTOMOBILES N 387,067 4,231,000 0.42%
562 DISCOVER FINL SVCS 61,900 4,233,000 0.42%
563 DYCOM INDS INC 45,551 4,234,000 0.42%
564 BORGWARNER INC 101,360 4,236,000 0.42%
565 MASIMO CORP 45,436 4,237,000 0.42%
566 CONOCOPHILLIPS 85,001 4,239,000 0.42%
567 PRA HEALTH SCIENCES INC 64,995 4,240,000 0.42%
568 PINNACLE FOODS INC DEL 73,282 4,241,000 0.42%
569 LOEWS CORP 90,697 4,242,000 0.42%
570 LAMB WESTON HLDGS INC COM 100,974 4,247,000 0.42%
571 CELGENE CORP 34,156 4,250,000 0.42%
572 CDK GLOBAL INC 65,406 4,252,000 0.42%
573 CHILDRENS PL INC 35,437 4,254,000 0.42%
574 UNITEDHEALTH GROUP INC 25,950 4,256,000 0.42%
575 EXELON CORP 118,287 4,256,000 0.42%
576 CENTERPOINT ENERGY INC 154,489 4,259,000 0.42%
577 XCEL ENERGY INC 95,915 4,263,000 0.42%
578 TEREX CORP NEW 135,894 4,267,000 0.42%
579 ADOBE INC 32,799 4,268,000 0.42%
580 ON SEMICONDUCTOR CORP 275,617 4,269,000 0.42%
581 SANDERSON FARMS INC 41,130 4,271,000 0.42%
582 MSCI INC 43,947 4,271,000 0.42%
583 WAL-MART STORES INC 59,367 4,279,000 0.42%
584 DR PEPPER SNAPPLE GROUP INC 43,712 4,280,000 0.42%
585 VMWARE INC 46,489 4,283,000 0.43%
586 RALPH LAUREN CORP 52,493 4,284,000 0.43%
587 AES CORP 383,574 4,288,000 0.43%
588 ONEOK INC NEW 77,386 4,290,000 0.43%
589 STAPLES INC 489,771 4,295,000 0.43%
590 CMS ENERGY CORP 96,209 4,304,000 0.43%
591 VERISIGN INC 49,551 4,316,000 0.43%
592 MOTOROLA SOLUTIONS INC 50,078 4,318,000 0.43%
593 FIRSTENERGY CORP 136,780 4,352,000 0.43%
594 ALCOA CORP 126,905 4,366,000 0.43%
595 AMC NETWORKS INC CL A 75,153 4,410,000 0.44%
596 LEUCADIA NATL CORP 171,182 4,451,000 0.44%
597 BURLINGTON STORES INC 45,879 4,464,000 0.44%
598 TYSON FOODS INC 72,549 4,477,000 0.44%
599 NOBLE CORP PLC 723,280 4,477,000 0.44%
600 HYATT HOTELS CORP COM CL A 85,600 4,621,000 0.46%
Page 12 of 13

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-17-001109, filed 2017.05.05).

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.