GOLDMAN SACHS GROUP INC Q4 2016 Filing

Filed February 14, 2017

Portfolio Value

$353.6M

Holdings

4,436

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (4,436 positions)

StockValue
LM03LIBERTY MEDIA CORP DELAWARE
$14.2M
BRK-BQUALITY CARE PPTYS INC
$14.2M
PINCPREMIER INC
$14.1M
TIM PARTICIPACOES S A
$14.1M
HMCHONDA MOTOR LTD
$14.1M
ALDER BIOPHARMACEUTICALS INC
$14.1M
LXPUSDLEXINGTON REALTY TRUST
$14.1M
BMABANCO MACRO SA
$14.1M
GLPGLOBAL PARTNERS LP
$14.0M
GLOWPOINT INC
$14.0M
YRIYAMANA GOLD INC
$14.0M
EDGGOLD FIELDS LTD NEW
$13.9M
WAGEWORKS INC
$13.9M
LENDINGCLUB CORP
$13.8M
NSPINSPERITY INC
$13.8M
IEFISHARES TR
$13.7M
VBRVANGUARD INDEX FDS
$13.7M
GSLCGOLDMAN SACHS ETF TR
$13.7M
VEUVANGUARD INTL EQUITY INDEX F
$13.7M
LSC COMMUNICATIONS INC
$13.6M
ISBCUSDINVESTORS BANCORP INC NEW
$13.6M
ENBRIDGE ENERGY MANAGEMENT L
$13.6M
BMC STK HLDGS INC
$13.6M
PROSHARES TR
$13.6M
BHP BILLITON PLC
$13.6M
IHIISHARES TR
$13.6M
ILG INC
$13.5M
EFAVISHARES TR
$13.5M
UBNTEURUBIQUITI NETWORKS INC
$13.4M
GPOR1EURGULFPORT ENERGY CORP
$13.4M
ANFABERCROMBIE & FITCH CO
$13.4M
KRNTKORNIT DIGITAL LTD
$13.4M
GRT-UCADGRANITE REAL ESTATE INVT TR
$13.4M
DEVRY ED GROUP INC
$13.3M
PROSHARES TR II
$13.3M
USFDUS FOODS HLDG CORP
$13.1M
AMERICAN DG ENERGY INC
$13.0M
TANZANIAN ROYALTY EXPL CORP
$13.0M
OUTOUTFRONT MEDIA INC
$13.0M
DREW INDS INC
$13.0M
FAIRMOUNT SANTROL HLDGS INC
$12.9M
MIGAMICROSTRATEGY INC
$12.9M
DLSWISDOMTREE TR
$12.9M
SPDR SERIES TRUST
$12.8M
CVR REFNG LP
$12.8M
PLANTRONICS INC NEW
$12.8M
SHMSPDR SER TR
$12.8M
WHITING PETE CORP NEW
$12.8M
TPHTRI POINTE GROUP INC
$12.8M
HTLDEXPRESS INC
$12.8M
DUPONT FABROS TECHNOLOGY INC
$12.7M
INTNED V6.5 PERPING GROEP N V
$12.7M
NOKNOKIA CORP
$12.7M
POLYONE CORP
$12.6M
BVNCOMPANIA DE MINAS BUENAVENTU
$12.6M
SYNERGY PHARMACEUTICALS INC
$12.6M
UYGPROSHARES TR
$12.6M
RETAIL PPTYS AMER INC
$12.6M
BBVABANCO BILBAO VIZCAYA ARGENTA
$12.6M
COLONY STARWOOD HOMES
$12.5M
SNDSMART SAND INC
$12.5M
MDRXALLSCRIPTS HEALTHCARE SOLUTN
$12.5M
OASIS PETE INC NEW
$12.4M
ABJAABB LTD
$12.4M
PAYCPAYCOM SOFTWARE INC
$12.4M
BTUSDBT GROUP PLC
$12.3M
ONON SEMICONDUCTOR CORP
$12.3M
EWHISHARES INC
$12.3M
FDPFRESH DEL MONTE PRODUCE INC
$12.3M
CYHCOMMUNITY HEALTH SYS INC NEW
$12.2M
BHEBENCHMARK ELECTRS INC
$12.2M
SANMSANMINA CORPORATION
$12.1M
ADNTADIENT PLC
$12.1M
XLRNACCELERON PHARMA INC
$12.1M
FINISAR CORP
$12.1M
BSMBLACK STONE MINERALS L P
$12.1M
GBDCGOLUB CAP BDC INC
$12.1M
MOSYS INC
$12.0M
DRNDIREXION SHS ETF TR
$12.0M
TAROTARO PHARMACEUTICAL INDS LTD
$12.0M
SSFSENSIENT TECHNOLOGIES CORP
$11.9M
USCRU S CONCRETE INC
$11.9M
VXUSVANGUARD STAR FD
$11.9M
UEURBAN EDGE PPTYS
$11.8M
SHOSUNSTONE HOTEL INVS INC NEW
$11.8M
WERNWERNER ENTERPRISES INC
$11.8M
SANCHEZ PRODTN PARTNER
$11.8M
RITMNEW RESIDENTIAL INVT CORP
$11.8M
RYLAND GROUP INC
$11.8M
BLVVANGUARD BD INDEX FD INC
$11.7M
SFNCSIMMONS 1ST NATL CORP
$11.7M
VTVANGUARD INTL EQUITY INDEX F
$11.7M
MAGELLAN HEALTH INC
$11.6M
SM 1.5 07/01/21SM ENERGY CO
$11.6M
EMBJEMBRAER S A
$11.5M
LTHLIFEPOINT HEALTH INC
$11.5M
TAHOE RES INC
$11.5M
CONE MIDSTREAM PARTNERS LP
$11.4M
LYGLLOYDS BANKING GROUP PLC
$11.4M
SLGNSILGAN HOLDINGS INC
$11.4M
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