0000950123-14-008357.txt : 20140812
0000950123-14-008357.hdr.sgml : 20140812
20140812065501
ACCESSION NUMBER: 0000950123-14-008357
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20140630
FILED AS OF DATE: 20140812
DATE AS OF CHANGE: 20140812
EFFECTIVENESS DATE: 20140812
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: TimesSquare Capital Management, LLC
CENTRAL INDEX KEY: 0001313816
IRS NUMBER: 201665304
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-11092
FILM NUMBER: 141032393
BUSINESS ADDRESS:
STREET 1: 7 TIMES SQUARE
STREET 2: 42ND FLOOR
CITY: NEW YORK
STATE: NY
ZIP: 10036
BUSINESS PHONE: 800-541-5156
MAIL ADDRESS:
STREET 1: 7 TIMES SQUARE
STREET 2: 42ND FLOOR
CITY: NEW YORK
STATE: NY
ZIP: 10036
13F-HR
1
primary_doc.xml
13F-HR
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false
true
false
0001313816
XXXXXXXX
06-30-2014
06-30-2014
TimesSquare Capital Management, LLC
7 Times Square
42nd Floor
NEW YORK
NY
10036
13F HOLDINGS REPORT
028-11092
N
Mark J. Aaron
Chief Compliance Officer
(917) 342-7950
/S/ Mark J. Aaron
New York
NY
08-08-2014
0
241
18572193
false
INFORMATION TABLE
2
form13fInfoTable.xml
INFORMATION TABLE FOR FORM 13F
ACI Worldwide Inc.
COM
004498101
53494
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697925
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Actavis Inc
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G0083B108
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40768
0
3443
Aercap Holdings NV
SHS
N00985106
106283
2320600
SH
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1749200
0
571400
Air Methods Corporation
COM PAR $.06
009128307
78639
1522530
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1471095
0
51435
Airgas Inc
COM
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72632
666900
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515100
0
151800
Albany International Corp
CL A
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2228755
0
66675
Align Technology Inc
COM
016255101
95397
1702295
SH
SOLE
1413825
0
288470
Allegiant Travel Co
COM
01748X102
72979
619675
SH
SOLE
528725
0
90950
Alliance Data Systems Cor
COM
018581108
392559
1395765
SH
SOLE
988915
0
406850
Allscripts Healthcare Sol
COM
01988P108
56132
3497300
SH
SOLE
2570700
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926600
Alnylam Pharmaceuticals I
COM
02043Q107
24690
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285250
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Amdocs Limited
SHS
G02602103
195313
4215700
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3139900
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1075800
American Equity Invt Life
COM
025676206
58500
2378055
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67400
American Tower Corp
COM
03027X100
9959
110683
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102023
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8660
Ametek Inc
COM
031100100
77309
1478750
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335100
Annies Inc
COM
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54655
1616070
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252400
Apollo Global Management
CL A SHS
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188255
6791300
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5095850
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1695450
Apple Inc
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Array BioPharma Inc.
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Artisan Partners Asset Ma
CL A
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0
244700
Asbury Automotive Group I
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0
206400
Aspen Technology Inc.
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332100
Assured Guaranty Ltd
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718500
Auxilium Pharmaceuticals
COM
05334D107
30615
1526195
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Avanir Pharmaceuticals
CL A NEW
05348P401
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128518
Avis Budget Group Inc.
COM
053774105
192960
3232700
SH
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Bally Technologies Inc
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BankUnited Inc.
COM
06652K103
73579
2197700
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Beacon Roofing Supply Inc
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SH
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Biogen Idec Inc.
COM
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3391
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SH
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835
BorgWarner Inc
COM
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135048
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1600200
0
471400
Boston Beer Co. Cl A
CL A
100557107
40935
183140
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177340
0
5800
Boston Scientific Corpora
COM
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81748
6401600
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4945900
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1455700
Bottomline Technologies I
COM
101388106
56826
1899272
SH
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53600
Bright Horizons Family So
COM
109194100
59651
1389166
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40800
Broadridge Financial Solu
COM
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85971
2064620
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Broadsoft Inc
COM
11133B409
22015
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Brookdale Senior Living I
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Cabela's Inc.
COM
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Cameron International Cor
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Cardtronics Inc
COM
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Carpenter Technology Corp
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Celldex Therapeutics Inc.
COM
15117B103
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Cepheid
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Chart Industries Inc.
COM PAR $0.01
16115Q308
38586
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Charter Communications In
CL A NEW
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593500
SH
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Church and Dwight Co
COM
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Clarcor Inc
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Clovis Oncology Inc.
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CommScope Holding Co Inc
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Commvault Systems Inc
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comScore Inc.
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Copart Inc.
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CoreLogic, Inc.
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Corporate Executive Board
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Costar Group Inc
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Cynosure Inc. (Cl A)
CL A
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Davita Healthcare Partner
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5686201
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Dealertrack Technologies
COM
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Denbury Resources Inc
COM NEW
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224470
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DigitalGlobe Inc
COM NEW
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Discovery Communications
COM SER C
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Dorman Products Inc.
COM
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72726
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Ecolab Inc
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EMCOR Group Inc
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Endo International PLC
SHS
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EnerNOC Inc.
COM
292764107
26753
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Envision Healthcare Holdi
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EOG Resources Inc.
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EP Energy Corp Cl A
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Equifax Inc.
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Estee Lauder Cos. Cl A
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EverBank Financial Corp.
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EVERTEC Inc
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Exlservice Holdings Inc
COM
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Facebook Inc
CL A
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Fidelity and Guaranty Lif
COM
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Fidelity National Informa
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Financial Engines Inc.
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Five Below Inc
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Flowserve Corp.
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Foot Locker Inc
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Fortune Brands Home & Sec
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34964C106
43787
1096600
SH
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Forum Energy Technologies
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G-III Apparel Group Ltd.
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Gartner Inc
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Generac Holdings Inc
COM
368736104
41185
845000
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616600
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Genesee and Wyoming Inc
CL A
371559105
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Global Eagle Entertainmen
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Global Payments Inc
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Globus Medical Inc Class
CL A
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GNC Holdings Inc. Cl A
COM CL A
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Google Inc. Cl A
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Google Inc. CL C
CL C
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Graco Inc
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Grand Canyon Education In
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Gulfmark Offshore Inc. Cl
CL A NEW
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Hanesbrands Inc
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Healthcare Services Group
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Heartland Payment Systems
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HeartWare International I
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Hershey Company
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Hertz Global Holdings Inc
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Horizon Pharma Inc.
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Huron Consulting Group In
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IHS Inc
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Imprivata Inc
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Informatica Corp
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Inter Parfums Inc
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Intercontinental Exchange
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J2 Global Inc.
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Jarden Corporation
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John Wiley and Sons Inc
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Kennametal Inc
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Kennedy-Wilson Holdings I
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La Quinta Holdings Inc
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Lithia Motors Inc. Cl A
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Marketo Inc
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Markit Limited
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Marriott Vacations Worldw
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MasterCard Inc. Cl A
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Mattress Firm Holding Cor
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Maximus Inc
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McGraw Hill Financial Inc
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Mednax Inc
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Monro Muffler Inc
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Montpelier Re Holdings Lt
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MRC Global Inc
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NICE Systems Ltd - ADR
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120974
1641220
SH
SOLE
1278805
0
362415
Renaissancere Holdings Lt
COM
G7496G103
270614
2529100
SH
SOLE
1802500
0
726600
Rexnord Holdings Inc
COM
76169B102
137811
4895600
SH
SOLE
4039100
0
856500
Robert Half International
COM
770323103
60391
1265000
SH
SOLE
922250
0
342750
Rockwell Automation Inc.
COM
773903109
80274
641375
SH
SOLE
496075
0
145300
Rockwell Collins Inc
COM
774341101
89502
1145400
SH
SOLE
884700
0
260700
Rosetta Resources Inc.
COM
777779307
57321
1045050
SH
SOLE
761850
0
283200
Ross Stores Inc.
COM
778296103
106095
1604345
SH
SOLE
1257355
0
346990
Rowan Companies PLC
SHS CL A
G7665A101
63075
1975400
SH
SOLE
1439300
0
536100
RPM International Inc
COM
749685103
100400
2174100
SH
SOLE
1582550
0
591550
Rush Enterprises Inc. Cl
CL A
781846209
33034
952820
SH
SOLE
925420
0
27400
Ryanair Holdings plc - SP
SPONSORED ADR
783513104
73751
1321700
SH
SOLE
1063400
0
258300
Safety Insurance Group In
COM
78648T100
19350
376600
SH
SOLE
365600
0
11000
Salesforce.com Inc.
COM
79466L302
6802
117115
SH
SOLE
107980
0
9135
Salix Pharmaceuticals Ltd
COM
795435106
168200
1363600
SH
SOLE
1032350
0
331250
Sally Beauty Holdings Inc
COM
79546E104
131052
5225350
SH
SOLE
3956850
0
1268500
Sanchez Energy Corp
COM
79970Y105
21411
569590
SH
SOLE
553190
0
16400
Sangamo BioSciences Inc.
COM
800677106
10554
691160
SH
SOLE
671660
0
19500
SBA Communications Corp
COM
78388J106
420545
4110900
SH
SOLE
2895500
0
1215400
Schlumberger Ltd.
COM
806857108
10752
91154
SH
SOLE
84024
0
7130
Seaworld Entertainment In
COM
81282V100
50314
1776000
SH
SOLE
1296950
0
479050
Servicemaster Global Hold
Common Stock
81761R109
34779
1907800
SH
SOLE
1387000
0
520800
Shutterstock Inc
COM
825690100
23508
283295
SH
SOLE
275295
0
8000
Sirona Dental Systems Inc
COM
82966C103
86502
1049020
SH
SOLE
860570
0
188450
SolarWinds Inc
COM
83416B109
87944
2274800
SH
SOLE
1711600
0
563200
Solera Holdings Inc
COM
83421A104
329183
4902197
SH
SOLE
4034542
0
867655
Sotheby's
COM
835898107
64133
1527335
SH
SOLE
1483535
0
43800
Southwestern Energy Compa
COM
845467109
78611
1728100
SH
SOLE
1334800
0
393300
Spirit Airlines Inc.
COM
848577102
43716
691270
SH
SOLE
671070
0
20200
Standard Plus Corp
COM
78469C103
27623
1291386
SH
SOLE
1254686
0
36700
Stemline Therapeutics Inc
COM
85858C107
11707
798025
SH
SOLE
773725
0
24300
Stericycle Inc.
COM
858912108
100071
845050
SH
SOLE
653050
0
192000
Surgical Care Affiliates
COM
86881L106
33859
1164335
SH
SOLE
1144335
0
20000
Synergy Resources Corp.
COM
87164P103
31160
2351735
SH
SOLE
2283735
0
68000
Taylor Morrison Home Corp
CL A
87724P106
56133
2503700
SH
SOLE
1824900
0
678800
TE Connectivity Ltd
REG SHS
H84989104
6092
98510
SH
SOLE
90805
0
7705
Team Health Holding Inc.
COM
87817A107
139550
2794362
SH
SOLE
2334162
0
460200
The Advisory Board Co
COM
00762W107
110938
2139588
SH
SOLE
1793038
0
346550
The Priceline Group Inc.
COM NEW
741503403
9573
7958
SH
SOLE
7341
0
617
The Ultimate Software Gro
COM
90385D107
218504
1581417
SH
SOLE
1331972
0
249445
The Walt Disney Company
COM DISNEY
254687106
10275
119835
SH
SOLE
110480
0
9355
Tiffany and Co
COM
886547108
98295
980500
SH
SOLE
757700
0
222800
Time Warner Cable Inc.
COM
88732J207
6757
45875
SH
SOLE
42290
0
3585
Timken Co.
COM
887389104
43940
647700
SH
SOLE
469300
0
178400
Tractor Supply Company
COM
892356106
78955
1307200
SH
SOLE
1009200
0
298000
Transdigm Group Inc
COM
893641100
59482
355625
SH
SOLE
274625
0
81000
TriMas Corp.
COM NEW
896215209
31648
830000
SH
SOLE
806700
0
23300
Trinet Group Inc
COM
896288107
39066
1623015
SH
SOLE
1375515
0
247500
Tyler Technologies Inc.
COM
902252105
77369
848250
SH
SOLE
824600
0
23650
Union Pacific Corp.
COM
907818108
8983
90060
SH
SOLE
83080
0
6980
United Natural Foods Inc
COM
911163103
132897
2041434
SH
SOLE
1710804
0
330630
United Therapeutics Corpo
COM
91307C102
115825
1308900
SH
SOLE
994100
0
314800
Vantiv Inc
CL A
92210H105
136857
4070700
SH
SOLE
3073700
0
997000
Verisk Analytics Inc. Cl
CL A
92345Y106
94556
1575400
SH
SOLE
1217500
0
357900
Vertex Pharmaceuticals In
COM
92532F100
28
300
SH
SOLE
300
0
0
Virtusa Corp
COM
92827P102
29821
832986
SH
SOLE
807886
0
25100
Volcano Corporation
COM
928645100
50274
2854850
SH
SOLE
2359350
0
495500
Wabco Holdings Inc
COM
92927K102
302037
2827535
SH
SOLE
2012680
0
814855
WageWorks Inc
COM
930427109
100820
2091258
SH
SOLE
1793858
0
297400
Watsco Inc.
COM
942622200
45769
445400
SH
SOLE
325000
0
120400
Wesco International Inc
COM
95082P105
212886
2464525
SH
SOLE
2000625
0
463900
West Corporation
COM
952355204
23072
860890
SH
SOLE
834890
0
26000
Wex Inc
COM
96208T104
181661
1730601
SH
SOLE
1469241
0
261360
Whitewave Foods Company
COM CL A
966244105
148515
4588050
SH
SOLE
3475500
0
1112550
Whiting Petroleum Corp
COM
966387102
129130
1609100
SH
SOLE
1244200
0
364900
William Lyon Homes Shs A
CL A NEW
552074700
48021
1577550
SH
SOLE
1532450
0
45100
WisdomTree Investments In
COM
97717P104
60929
4929540
SH
SOLE
4788440
0
141100
WNS Holdings Ltd ADR
SPON ADR
92932M101
73416
3827725
SH
SOLE
2931655
0
896070
Wyndham Worldwide Corp.
COM
98310W108
106347
1404480
SH
SOLE
1107775
0
296705