SYSTEMATIC FINANCIAL MANAGEMENT LP Q1 2016 Filing

Filed May 11, 2016

Portfolio Value

$8.0B

Holdings

578

Report Date

Q1 2016

Filing Type

13F-HR

All Holdings (578 positions)

#StockSharesValue% PortfolioType
1
Level 3 Communications Inc
3,036,045$160.5B2007.30%
2
ETRAE Trade Financial Corp
6,067,712$148.6B1858.98%
3
AREAlexandria Real Estate Equitie
1,530,672$139.1B1740.43%
4
MGMMGM Resorts International
5,963,799$127.9B1599.58%
5
PVHPVH Corporation
1,127,324$111.7B1397.03%
6
CBRECBRE Group Inc.
3,853,517$111.1B1389.35%
7
SLG2EURSL Green Realty Corp. (REIT)
1,122,623$108.8B1360.59%
8
K6BKBR Inc.
6,678,119$103.4B1293.26%
9
Pinnacle Foods Inc.
2,301,425$102.8B1286.38%
10
BERYEURBerry Plastics Group Inc.
2,788,037$100.8B1260.86%
11
VOYAVoya Financial Inc.
3,354,198$99.9B1249.19%
12
ITTITT Corporation
2,705,459$99.8B1248.56%
13
NUENucor Corporation
2,102,825$99.5B1244.29%
14
CECelanese Corporation
1,517,369$99.4B1243.34%
15
IVZInvesco Ltd.
3,169,002$97.5B1219.86%
16
NWLNewell Rubbermaid Inc.
2,091,241$92.6B1158.70%
17
CNCCentene Corp.
1,482,612$91.3B1141.97%
18
Amsurg Corp.
1,200,782$89.6B1120.63%
19
GPNGlobal Payments Inc
1,355,010$88.5B1106.92%
20
KEYKeyCorp
7,952,234$87.8B1098.29%
21
ALBAlbemarle Corp.
1,323,350$84.6B1058.37%
22
PEOExelon Corp.
2,322,586$83.3B1041.93%
23
LRCXEURLAM Research Corp.
1,002,278$82.8B1035.69%
24
TGNATegna Inc.
3,370,255$79.1B989.13%
25
HESHess Corporation
1,436,638$75.6B946.24%
26
Newfield Exploration Co.
2,131,834$70.9B886.75%
27
AERAerCap Holdings N.V.
1,800,100$69.8B872.84%
28
Energen Corp.
1,857,924$68.0B850.45%
29
CRLCharles River Laboratories Int
883,521$67.1B839.35%
30
SYFSynchrony Financial
2,330,403$66.8B835.54%
31
LPTUSDLiberty Property Trust (REIT)
1,991,861$66.6B833.76%
32
PCGPG&E Corporation
1,102,857$65.9B823.94%
33
AWMSkyworks Solutions Inc.
841,733$65.6B820.30%
34
SWKStanley Black and Decker Inc.
608,334$64.0B800.67%
35
SHOSunstone Hotel Investors Inc.
4,494,747$62.9B787.21%
36
AEOAmerican Eagle Outfitters Inc.
3,694,020$61.6B770.36%
37
Endurance Specialty Holdings L
912,635$59.6B745.99%
38
LAZLazard Ltd.
1,514,768$58.8B735.24%
39
DuPont Fabros Technology Inc.
1,440,524$58.4B730.39%
40
BKHBlack Hills Corp.
963,934$58.0B725.10%
41
BSXBoston Scientific
3,060,271$57.6B720.12%
42
AMATApplied Materials Inc.
2,694,780$57.1B714.02%
43
ALSNAllison Transmission Hldgs
2,106,844$56.8B711.10%
44
AEEAmeren Corp.
1,105,334$55.4B692.77%
45
DTEDTE Energy Co.
597,831$54.2B678.04%
46
ALSAllstate Corp.
798,142$53.8B672.67%
47
PDEURPrecision Drilling Corporation
12,699,987$53.3B667.28%
48
WBSWebster Financial Corp.
1,451,583$52.1B651.91%
49
FSLRFirst Solar Inc.
736,164$50.4B630.57%
50
Mellanox Technologies LTD
912,167$49.6B619.98%
51
Orbotech Ltd. ORD
2,067,408$49.2B615.02%
52
Sterling Bancorp New
3,006,143$47.9B599.07%
53
ALKAlaska Air Group Inc.
572,741$47.0B587.68%
54
NUANEURNuance Communications Inc.
2,459,435$46.0B575.04%
55
EPREPR Properties Trust (REIT)
665,170$44.3B554.36%
56
DOCUSDPhysicians Realty Trust (REIT)
2,371,669$44.1B551.26%
57
CAGConAgra Foods Inc.
953,261$42.5B532.11%
58
NBRNabors Industries Ltd.
4,533,561$41.7B521.77%
59
CBS Corp. CL B
738,619$40.7B509.04%
60
JPMJPMorgan Chase & Co.
677,246$40.1B501.73%
61
WAFDWashington Federal Inc.
1,766,893$40.0B500.65%
62
GMEDGlobus Med Inc
1,645,536$39.1B488.91%
63
UCBUnited Community Banks Inc.
2,114,200$39.0B488.51%
64
XRAYDentsply Sirona Inc.
622,599$38.4B480.01%
65
DVNDevon Energy Corporation
1,380,807$37.9B474.00%
66
BACBank of America Corporation
2,723,631$36.8B460.66%
67
VLOValero Energy Corp.
545,643$35.0B437.82%
68
Microsemi Corp.
898,924$34.4B430.81%
69
COHREURCoherent Inc.
369,110$33.9B424.36%
70
PNCPNC Financial Services Group I
389,738$33.0B412.33%
71
Aetna Inc.
293,071$32.9B411.91%
72
Tesoro Corporation
377,945$32.5B406.67%
73
CLGXCoreLogic Inc.
916,965$31.8B398.05%
74
CSCOCisco Systems Inc.
1,104,307$31.4B393.31%
75
GEGeneral Electric Co.
986,828$31.4B392.45%
76
WPX Energy Inc.
4,432,344$31.0B387.59%
77
OCOwens Corning New
652,228$30.8B385.77%
78
Integrated Device Technology I
1,508,122$30.8B385.64%
79
ETNEaton Corporation PLC Ord
486,091$30.4B380.42%
80
TRVCCitigroup Inc
725,644$30.3B378.99%
81
SIGISelective Insurance Group Inc.
798,875$29.2B365.87%
82
VeriFone Systems Inc.
1,020,853$28.8B360.64%
83
MSFTMicrosoft Corporation
519,476$28.7B358.92%
84
UFCSUnited Fire Group Inc
649,373$28.5B355.98%
85
UHALAmerco
79,316$28.3B354.54%
86
XLNXEURXilinx Inc.
597,151$28.3B354.31%
87
SJMThe J. M. Smucker Company
215,941$28.0B350.75%
88
NWENorthwestern Corp.
438,757$27.1B338.94%
89
MRKMerck & Co. Inc.
497,710$26.3B329.43%
90
PFEPfizer Inc.
853,922$25.3B316.63%
91
METMetLife Inc.
572,350$25.1B314.62%
92
FCNCAFirst Citizens Bancshares Inc.
93,373$23.4B293.27%
93
IPInternational Paper Co.
553,650$22.7B284.24%
94
KFYKorn/Ferry International
802,152$22.7B283.88%
95
WFCWells Fargo & Company
444,061$21.5B268.64%
96
PEGPublic Service Enterprise Grou
451,596$21.3B266.32%
97
SUSuncor Energy Inc.
734,514$20.4B255.53%
98
OLEDUniversal Display Corp. (New)
369,602$20.0B250.14%
99
ATVIEURActivision-Blizzard Inc.
577,941$19.6B244.66%
100
ANFAbercrombie & Fitch Co.
619,861$19.6B244.57%
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