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Institutional Investment Manager
BAYESIAN CAPITAL MANAGEMENT, LP
BAYESIAN CAPITAL MANAGEMENT, LP (CIK: 0001632551). Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 235 holdings with a total value of $69,760,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 FULTON FINL CORP PA 18,900 246,000 0.35%
102 GENERAC HLDGS INC 8,300 247,000 0.35%
103 On Assignment Inc 5,511 248,000 0.36%
104 ALLEGION PUB LTD CO 3,770 249,000 0.36%
105 PROOFPOINT INC 3,849 250,000 0.36%
106 INFOBLOX INC 13,781 253,000 0.36%
107 QORVO INC 5,056 257,000 0.37%
108 ADVISORY BRD CO COM 5,200 258,000 0.37%
109 Linear Technology Corp 6,100 259,000 0.37%
110 DREAMWORKS ANIMATION SKG INC 10,100 260,000 0.37%
111 EQUITY RESIDENTIAL 3,200 261,000 0.37%
112 DELTA AIRLINES INC DEL 5,176 262,000 0.38%
113 CROWN HOLDINGS INC 5,197 263,000 0.38%
114 ACTUANT CORP 11,012 264,000 0.38%
115 MEDTRONIC PLC 3,440 265,000 0.38%
116 HIBBETT INC COM 8,800 266,000 0.38%
117 Silicon Laboratories Inc 5,566 270,000 0.39%
118 RACKSPACE HOSTING INC 10,700 271,000 0.39%
119 CST BRANDS INC 6,944 272,000 0.39%
120 ANALOG DEVICES INC 4,934 273,000 0.39%
121 UBIQUITI NETWORKS INC 8,600 273,000 0.39%
122 CommVault Systems Inc 7,000 275,000 0.39%
123 ALIBABA GROUP HLDG LTD 3,400 276,000 0.40%
124 WEIGHT WATCHERS INTL INC NEW 12,101 276,000 0.40%
125 PAYCOM SOFTWARE INC 7,398 278,000 0.40%
126 MANHATTAN ASSOCIATES INC 4,301 285,000 0.41%
127 FLEETCOR TECHNOLOGIES INC 2,002 286,000 0.41%
128 NEW YORK TIMES CO 21,400 287,000 0.41%
129 FIRST SOLAR INC 4,361 288,000 0.41%
130 MONOLITHIC PWR SYS INC 4,514 288,000 0.41%
131 COGENT COMMUNICATIONS HLDGS IN COM NEW 8,400 291,000 0.42%
132 CHILDRENS PL INC 5,300 293,000 0.42%
133 COACH INC 9,000 295,000 0.42%
134 GLAXOSMITHKLINE PLC 7,371 297,000 0.43%
135 ALLSCRIPTS HEALTHCARE SOLUTN 19,290 297,000 0.43%
136 SELECT COMFORT CORP 13,996 300,000 0.43%
137 WEBMD HEALTH CORP 6,252 302,000 0.43%
138 INSULET CORPORATION 8,000 302,000 0.43%
139 ARM HOLDINGS PLC ADR 6,687 303,000 0.43%
140 HELEN OF TROY CORP LTD 3,220 303,000 0.43%
141 AMN HEALTHCARE SERVICES INC 9,900 307,000 0.44%
142 MERCADOLIBRE INC 2,687 307,000 0.44%
143 Adt Corp 9,400 310,000 0.44%
144 MATTEL INC 11,400 310,000 0.44%
145 WAL-MART STORES INC 5,069 311,000 0.45%
146 TRAVELERS COMPANIES INC 2,767 312,000 0.45%
147 UNITED THERAPEUTICS CORP DEL 2,003 314,000 0.45%
148 DEAN FOODS CO NEW 18,300 314,000 0.45%
149 FEDEX CORP 2,119 316,000 0.45%
150 POPEYES LA KITCHEN INC 5,400 316,000 0.45%
Page 3 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001144204-16-082585, filed 2016.02.16).

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.