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Institutional Investment Manager
SCHONFELD STRATEGIC ADVISORS LLC
SCHONFELD STRATEGIC ADVISORS LLC (CIK: 0001665241). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Original 13F HR (0001085146-16-004826) filed in 2016.11.14
#
Name
Shares
Value ($)
%
Options
Notes
201 DAVITA INC 12,997 858 0.15%
202 AMERICAN EXPRESS CO 13,554 868 0.15%
203 AERIE PHARMACEUTICALS INC 23,231 877 0.15%
204 FACEBOOK INC 6,869 881 0.15%
205 PHH CORP COM NEW 61,165 884 0.15%
206 MCKESSON CORP 5,329 889 0.15%
207 DIAMONDBACK ENERGY INC 9,214 889 0.15%
208 LEGGETT &PLATT INC 19,614 894 0.15%
209 DECKERS OUTDOOR CORP 15,031 895 0.15%
210 FABRINET SHS 20,099 896 0.15%
211 UNION PAC CORP 9,219 899 0.15%
212 COLUMBIA PPTY TR INC 40,457 906 0.15%
213 RETROPHIN INC 40,593 909 0.15%
214 TENET HEALTHCARE CORP 40,462 916 0.16%
215 MITEL NETWORKS CORP 125,710 925 0.16%
216 DEVON ENERGY CORP NEW 21,012 927 0.16%
217 ALIGN TECHNOLOGY INC 10,007 939 0.16%
218 RICE ENERGY 36,102 942 0.16%
219 COACH INC 26,063 953 0.16%
220 SHUTTERFLY INC 21,373 954 0.16%
221 WEATHERFORD INTL PLC 174,019 978 0.17%
222 BUFFALO WILD WINGS INC 7,000 985 0.17%
223 GOLDMAN SACHS GROUP INC 6,155 993 0.17%
224 GW PHARMACEUTICALS PLC 7,504 997 0.17%
225 SVB FINL GROUP 9,026 998 0.17%
226 D R HORTON INC 33,605 1,015 0.17%
227 LENNAR CORP 23,962 1,015 0.17%
228 TERADYNE INC 47,062 1,016 0.17%
229 TJX COS INC NEW 13,751 1,029 0.17%
230 BLACKROCK INC 2,842 1,030 0.17%
231 KROGER CO 34,888 1,035 0.18%
232 ULTIMATE SOFTWARE GROUP INC COM 5,084 1,039 0.18%
233 MASTERCARD INCORPORATED 10,206 1,039 0.18%
234 HASBRO INC 13,201 1,047 0.18%
235 PROGRESSIVE CORP OHIO 33,516 1,056 0.18%
236 KELLOGG CO 13,665 1,059 0.18%
237 AMDOCS LTD 18,332 1,061 0.18%
238 ALASKA AIR GROUP INC 16,161 1,065 0.18%
239 FIDELITY NATL INFORMATION SV 13,881 1,069 0.18%
240 FIREEYE INC 72,900 1,074 0.18%
241 INCYTE CORP 11,409 1,076 0.18%
242 CME GROUP INC 10,296 1,076 0.18%
243 GOODYEAR TIRE & RUBR CO 33,396 1,079 0.18%
244 MATSON INC COM 27,401 1,093 0.19%
245 AMETEK INC NEW 22,974 1,097 0.19%
246 TEVA PHARMACEUTICAL INDS LTD 23,862 1,098 0.19%
247 COMCAST CORP NEW 16,559 1,099 0.19%
248 NIMBLE STORAGE INC 125,002 1,104 0.19%
249 MARRIOTT INTL INC NEW 16,438 1,107 0.19%
250 MOBILE TELESYSTEMS PJSC 150,000 1,145 0.19%
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