FRONTIER CAPITAL MANAGEMENT CO LLC Q1 2017 Filing

Filed May 10, 2017

Portfolio Value

$13.5B

Holdings

324

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (324 positions)

#StockSharesValue% PortfolioType
1
BECNUSDBeacon Roofing Supply Inc.
4,312,112$212.0B1565.85%
2
EAElectronic Arts Inc.
2,359,747$211.2B1560.40%
3
COOCooper Companies Inc.
1,042,998$208.5B1540.01%
4
EEFTEuronet Worldwide Inc.
2,188,131$187.1B1382.26%
5
QRVOQorvo Inc.
2,588,860$177.5B1311.08%
6
RJFRaymond James Financial Inc.
2,190,085$167.0B1233.70%
7
UALUnited Continental Holdings Inc.
2,297,710$162.3B1198.93%
8
EFXEquifax Inc.
1,069,349$146.2B1080.10%
9
GPNGlobal Payments Inc.
1,790,373$144.4B1066.99%
10
CDKCDK Global Inc
2,197,393$142.9B1055.21%
11
OLEDUniversal Display Corporation
1,639,612$141.2B1042.79%
12
ROSTRoss Stores Inc.
2,142,976$141.2B1042.69%
13
INCYIncyte Corporation
1,052,639$140.7B1039.35%
14
BPOPPopular Inc.
3,441,716$140.2B1035.47%
15
TQJSignature Bank
904,162$134.2B991.07%
16
OPLNKAR Auction Services Inc.
3,038,033$132.7B980.00%
17
CITCintas Corporation
1,037,345$131.3B969.62%
18
ARMKAramark
3,496,263$128.9B952.20%
19
BERYEURBerry Global Group Inc
2,579,900$125.3B925.60%
20
Argo Group International Holdings Ltd.
1,805,604$122.4B904.28%
21
EXPEagle Materials Inc.
1,256,830$122.1B901.83%
22
Integrated Device Technology Inc.
5,078,784$120.2B887.99%
23
Carrizo Oil & Gas Inc.
4,190,832$120.1B887.21%
24
OGM1Cogent Communications Holdings Inc
2,720,079$117.1B864.97%
25
BCRUSDC. R. Bard Inc.
458,418$113.9B841.60%
26
ZTSZoetis Inc. Class A
2,117,659$113.0B834.84%
27
CDNSCadence Design Systems Inc.
3,584,735$112.6B831.45%
28
CNDTConduent Inc.
6,664,504$111.8B826.05%
29
MTZMasTec Inc.
2,768,977$110.9B819.17%
30
WCNWaste Connections Inc.
1,203,949$106.2B784.56%
31
LRCXEURLam Research Corporation
817,474$104.9B775.09%
32
FMCFMC Corporation
1,500,898$104.4B771.52%
33
AONAon plc
847,829$100.6B743.32%
34
TiVo Corp.
5,180,187$97.1B717.46%
35
LKQ1LKQ Corporation
3,300,320$96.6B713.55%
36
Kraton Corporation
3,089,868$95.5B705.72%
37
MLMMartin Marietta Materials Inc.
429,131$93.7B691.82%
38
ATVIEURActivision Blizzard Inc.
1,842,870$91.9B678.73%
39
ORLYO'Reilly Automotive Inc.
338,976$91.5B675.65%
40
ACHCAcadia Healthcare Company Inc.
2,087,088$91.0B672.17%
41
STERIS Plc
1,271,054$88.3B652.15%
42
Diplomat Pharmacy Inc.
5,455,461$87.0B642.75%
43
NDAQNasdaq Inc.
1,240,014$86.1B636.13%
44
Aspen Insurance Holdings Limited
1,650,921$85.9B634.74%
45
FT2First Horizon National Corporation
4,629,874$85.7B632.69%
46
Vantiv Inc. Class A
1,331,186$85.4B630.50%
47
BCBrunswick Corporation
1,373,992$84.1B621.13%
48
BMC Stock Holdings Inc.
3,719,935$84.1B621.01%
49
AOSA. O. Smith Corporation
1,641,801$84.0B620.45%
50
ATDAllegheny Technologies Incorporated
4,599,199$82.6B610.16%
51
PORPortland General Electric Company
1,854,009$82.4B608.33%
52
Xperi Corp
2,365,875$80.3B593.31%
53
DGDollar General Corporation
1,138,705$79.4B586.52%
54
ILMNIllumina Inc.
458,672$78.3B578.14%
55
HDSUSDHD Supply Holdings Inc.
1,895,231$77.9B575.73%
56
PODDInsulet Corporation
1,759,454$75.8B560.02%
57
EWEdwards Lifesciences Corporation
804,776$75.7B559.21%
58
IMAIMAX Corporation
2,225,558$75.7B558.94%
59
SBACSBA Communications Corp. Class A
614,971$74.0B546.79%
60
SMTCSemtech Corporation
2,174,541$73.5B542.91%
61
RHT1EURRed Hat Inc.
828,838$71.7B529.58%
62
JBLJabil Circuit Inc.
2,467,729$71.4B527.17%
63
BMRNBioMarin Pharmaceutical Inc.
811,884$71.3B526.43%
64
QIAGEN NV
2,449,006$70.9B524.07%
65
EXPEExpedia Inc.
558,495$70.5B520.50%
66
VMCVulcan Materials Company
578,322$69.7B514.68%
67
WBSWebster Financial Corporation
1,387,939$69.5B513.02%
68
JKHYJack Henry & Associates Inc.
730,605$68.0B502.44%
69
JRVRJames River Group Holdings Ltd
1,574,274$67.5B498.40%
70
FLEXFlex Ltd.
4,010,394$67.4B497.68%
71
ONON Semiconductor Corporation
4,205,540$65.1B481.20%
72
BFHAlliance Data Systems Corporation
261,356$65.1B480.71%
73
FFICFlushing Financial Corporation
2,414,907$64.9B479.32%
74
2U Inc.
1,632,301$64.7B478.19%
75
WAFDWashington Federal Inc.
1,916,809$63.4B468.66%
76
BCCBoise Cascade Co.
2,376,038$63.4B468.61%
77
MMSIMerit Medical Systems Inc.
2,193,723$63.4B468.31%
78
AFWAlign Technology Inc.
547,147$62.8B463.61%
79
WTWWillis Towers Watson Public Limited Co
478,631$62.6B462.76%
80
VECOVeeco Instruments Inc.
2,094,878$62.5B461.90%
81
MGMMGM Resorts International
2,210,541$60.6B447.40%
82
SHWSherwin-Williams Company
194,190$60.2B444.94%
83
LGIHLGI Homes Inc.
1,762,536$59.8B441.49%
84
Career Education Corporation
6,846,592$59.6B439.99%
85
MODModine Manufacturing Company
4,879,494$59.5B439.73%
86
TCBITexas Capital Bancshares Inc.
712,840$59.5B439.40%
87
TFXTeleflex Incorporated
305,885$59.3B437.73%
88
MYGNMyriad Genetics Inc.
3,075,954$59.1B436.24%
89
BNFTEURBenefitfocus Inc.
2,101,828$58.7B433.94%
90
VREMack-Cali Realty Corporation
2,163,551$58.3B430.54%
91
WWDWoodward Inc.
854,214$58.0B428.56%
92
TPCTutor Perini Corporation
1,813,512$57.7B425.99%
93
Ultratech Inc
1,946,000$57.6B425.78%
94
WSOWatsco Inc.
400,858$57.4B423.96%
95
ETRAE TRADE Financial Corporation
1,627,700$56.8B419.49%
96
Computer Sciences Corporation
819,620$56.6B417.81%
97
ALKSAlkermes Plc
929,038$54.3B401.46%
98
MPWRMonolithic Power Systems Inc.
585,305$53.9B398.19%
99
APHAmphenol Corporation Class A
749,359$53.3B393.95%
100
Navigators Group Inc.
979,219$53.2B392.77%
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