0001144204-17-058505.txt : 20171114
0001144204-17-058505.hdr.sgml : 20171114
20171113182430
ACCESSION NUMBER: 0001144204-17-058505
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20170930
FILED AS OF DATE: 20171114
DATE AS OF CHANGE: 20171113
EFFECTIVENESS DATE: 20171114
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Jackson Square Partners, LLC
CENTRAL INDEX KEY: 0001605911
IRS NUMBER: 800945254
STATE OF INCORPORATION: DE
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-16230
FILM NUMBER: 171197662
BUSINESS ADDRESS:
STREET 1: 101 CALIFORNIA STREET
STREET 2: STE 3750
CITY: SAN FRANCISCO
STATE: CA
ZIP: 94111
BUSINESS PHONE: 4152164700
MAIL ADDRESS:
STREET 1: 101 CALIFORNIA STREET
STREET 2: STE 3750
CITY: SAN FRANCISCO
STATE: CA
ZIP: 94111
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001605911
XXXXXXXX
09-30-2017
09-30-2017
false
Jackson Square Partners, LLC
101 California Street
Ste 3750
San Francisco
CA
94111
13F COMBINATION REPORT
028-16230
0000727770
028-05267
MACQUARIE INVESTMENT MANAGEMENT BUSINESS TRUST
N
Sean Kreiger
Chief Compliance Officer
415-635-0213
/s/ Sean Kreiger
San Francisco
CA
11-13-2017
0
93
20605893
INFORMATION TABLE
2
infotable.xml
ABIOMED INC COM
COMMON
003654100
91905
545107
SH
SOLE
347357
87551
110199
ALLERGAN PLC. COM STK
COMMON
G0177J108
324108
1581401
SH
SOLE
632482
394619
554300
AMADEUS IT GROUP EUR0.01
COMMON
E04908112
101205
1557840
SH
SOLE
396305
0
1161535
AFFILIATED MANAGERS GROUP INC COM STK
COMMON
008252108
92932
489558
SH
SOLE
286366
92028
111164
ARISTA NETWORKS INC COM
COMMON
040413106
50251
265024
SH
SOLE
178571
37880
48573
ADR ASML HLDG NV NY REG 2012 (POST REV SPLIT)
COMMON
N07059202
323679
1890650
SH
SOLE
737433
490877
662340
ASML HOLDING NV EUR0.09
COMMON
N07059202
101968
599180
SH
SOLE
144677
15946
438557
ATHENAHEALTH INC COM MON STOCK
COMMON
04685W103
65380
525738
SH
SOLE
318261
92552
114925
AUTO TRADER GROUP PLC
COMMON
G06708104
38147
7254079
SH
SOLE
1832043
0
5422036
ADR ALIBABA GROUP HOLDING LTD SPONSORED ADS
ADR
01609W102
73428
425157
SH
SOLE
107460
2769
314928
ADR BAIDU INC SPONSORED ADR REPSTG ORD SHS CL A
ADR
056752108
106514
430033
SH
SOLE
106957
9827
313249
BIOGEN INC COMMON STOCK
COMMON
09062X103
704286
2249253
SH
SOLE
832774
505241
911238
BIOVERATIV INC COM
COMMON
09075E100
99336
1740607
SH
SOLE
1066670
252408
421529
BLACKBAUD INC COM
COMMON
09227Q100
102028
1162056
SH
SOLE
784167
164112
213777
CARS COM INC COM
COMMON
14575E105
53311
2003435
SH
SOLE
1251667
336412
415356
CROWN CASTLE INTL CORP NEW COM
REIT
22822V101
588039
5881571
SH
SOLE
2269060
1541667
2070844
CENTENNIAL RESOURCE DEV INC CL A
COMMON
15136A102
909
50627
SH
SOLE
292
24228
26107
CELGENE CORP COM
COMMON
151020104
925361
6345918
SH
SOLE
2392681
1425271
2527966
CORE LABORATORIES NV NLG0.03
COMMON
N22717107
45555
461558
SH
SOLE
311497
65748
84313
CME GROUP INC COM STK
COMMON
12572Q105
48724
359112
SH
SOLE
120638
73916
164558
DOLLAR GEN CORP NEW COM
COMMON
256677105
306780
3785080
SH
SOLE
1457432
995383
1332265
DUNKIN BRANDS GROUP INC COM
COMMON
265504100
93981
1770558
SH
SOLE
1095078
307605
367875
DOMINOS PIZZA INC COM
COMMON
25754A201
7485
37701
SH
SOLE
212
18472
19017
DSV DKK1
COMMON
K3013J154
88124
1165394
SH
SOLE
296439
0
868955
ELECTR ARTS COM
COMMON
285512109
546029
4625021
SH
SOLE
1729325
925136
1970560
EBAY INC COM USD0.001
COMMON
278642103
714853
18586935
SH
SOLE
6945042
3940524
7701369
ELEMENT FLEET MGMT COM NPV
COMMON
286181201
150648
20312218
SH
SOLE
7928547
1842439
10541232
EQUITY COMWLTH COM SH BEN INT
REIT
294628102
145135
4774191
SH
SOLE
3025721
677616
1070854
EQUINIX INC COM PAR $0.001
REIT
29444U700
306527
686820
SH
SOLE
266126
178993
241701
EXPEDITORS INTL WASH INC COM
COMMON
302130109
62675
1047037
SH
SOLE
653823
179002
214212
EXPERIAN ORD USD0.10
COMMON
G32655105
91299
4545958
SH
SOLE
1141710
32324
3371924
FACEBOOK INC CL A
COMMON
30303M102
586853
3434503
SH
SOLE
1255980
780273
1398250
FEDEX CORP COM
COMMON
31428X106
644827
2858531
SH
SOLE
1058705
627019
1172807
GRACO INC COM
COMMON
384109104
75324
608981
SH
SOLE
411009
85981
111991
ALPHABET INC CAP STK USD0.001 CL C
COMMON
02079K107
485936
506654
SH
SOLE
191469
111318
203867
ALPHABET INC CAPITAL STOCK USD0.001 CL A
COMMON
02079K305
625945
642839
SH
SOLE
244019
147151
251669
GRIFOLS SA
COMMON
E5706X215
74854
2570435
SH
SOLE
653856
0
1916579
SCOUT24 AG NPV
COMMON
D345XT105
112240
2745860
SH
SOLE
600066
198379
1947415
INTERCONTINENTAL EXCHANGE INC COM
COMMON
45866F104
671681
9777022
SH
SOLE
3739784
2019558
4017680
INTERCONTINENTAL HOTELS GROUP
COMMON
G4804L148
71442
1350637
SH
SOLE
344237
0
1006400
ILLUMINA INC COM
COMMON
452327109
56769
284986
SH
SOLE
60593
24348
200045
IHS MARKIT LTD COM
COMMON
G47567105
85551
1940828
SH
SOLE
464719
55563
1420546
INTUIT COM
COMMON
461202103
6014
42312
SH
SOLE
145
13016
29151
IPG PHOTONICS CORP COM
COMMON
44980X109
85354
461225
SH
SOLE
109288
16159
335778
INTERTEK GROUP ORD GBP0.01
COMMON
G4911B108
109837
1645530
SH
SOLE
418755
0
1226775
J2 GLOBAL INC COM
COMMON
48123V102
97032
1313375
SH
SOLE
786599
238509
288267
KINDER MORGAN INC DEL COM
COMMON
49456B101
4821
251403
SH
SOLE
1434
126028
123941
LIBERTY GLOBAL PLC USD0.01 A
COMMON
G5480U104
106167
3130859
SH
SOLE
1245986
809619
1075254
LIBERTY GLOBAL PLC -SERIES C COM
COMMON
G5480U120
485910
14859638
SH
SOLE
5767144
3160066
5932428
LENDINGCLUB CORP COM
COMMON
52603A109
60191
9883742
SH
SOLE
6226566
1665642
1991534
LOGITECH INTERNATIONAL SA CHF0.25(REGD) (POST-SUBD)
COMMON
H50430232
6896
189159
SH
SOLE
189159
0
0
LOGITECH INTL CHF0.25 (REGD)
COMMON
H50430232
113850
3122230
SH
SOLE
1833167
582692
706371
LIBERTY TRIPADVISOR HLDGS INC COM SER A
COMMON
531465102
78884
6387434
SH
SOLE
3364012
1416924
1606498
MASTERCARD INC CL A
COMMON
57636Q104
826888
5856154
SH
SOLE
2156810
1323712
2375632
MICRO FOCUS INTL ORD GBP0.10
COMMON
G6117L186
77548
2424824
SH
SOLE
591172
55346
1778306
MERCADOLIBRE INC COM STK
COMMON
58733R102
55842
215665
SH
SOLE
54274
2381
159010
MSCI INC COMMON
COMMON
55354G100
74069
633613
SH
SOLE
427607
90212
115794
MICROSOFT CORP COM
COMMON
594918104
1012863
13597310
SH
SOLE
5096803
3132511
5367996
NASPERS 'N' ZAR0.02
COMMON
S53435103
356
1656
SH
SOLE
18
1638
0
NIELSEN HOLDINGS PLC COMSTK
COMMON
G6518L108
346690
8364067
SH
SOLE
3031847
1800483
3531737
NVIDIA CORP COM
COMMON
67066G104
277966
1554886
SH
SOLE
587312
413674
553900
NOVUS HOLDINGS LTD NPV
COMMON
00BWDPM09
0
572
SH
SOLE
6
566
0
OUTFRONT MEDIA INC COM
REIT
69007J106
81932
3253882
SH
SOLE
1998116
569652
686114
PANDORA MEDIA INC
COMMON
698354107
656
85226
SH
SOLE
482
41665
43079
VERIFONE SYSTEMS INC COM
COMMON
92342Y109
34957
1723755
SH
SOLE
1069997
292743
361015
PAYCOM SOFTWARE INC COM
COMMON
70432V102
76418
1019455
SH
SOLE
678160
150562
190733
PAYPAL HLDGS INC COM
COMMON
70450Y103
1217203
19009891
SH
SOLE
7091039
4279739
7639113
QUINTILES IMS HOLDINGS INC COM USD0.01
COMMON
74876Y101
478913
5037488
SH
SOLE
1929060
1329377
1779051
QUOTIENT TECHNOLOGY INC COM
COMMON
749119103
1924
122943
SH
SOLE
11574
55203
56166
LIBERTY INTERACTIVE CORPORATION QVC GROUP SER A
COMMON
53071M104
569564
24164803
SH
SOLE
9642804
6053857
8468142
SCHWAB CHARLES CORP COM NEW
COMMON
808513105
472739
10807952
SH
SOLE
4157693
2818894
3831365
SAMSUNG ELECTRONIC GDR
GDR
796050888
3971
3508
SH
SOLE
33
3475
0
SHUTTERSTOCK INC COM
COMMON
825690100
73718
2214445
SH
SOLE
1461578
266780
486087
SYMANTEC CORP COM
COMMON
871503108
571275
17411636
SH
SOLE
6545107
3816474
7050055
BIO-TECHNE CORP COM
COMMON
09073M104
104160
861616
SH
SOLE
581496
122727
157393
LENDINGTREE INC NEW COM USD0.01
COMMON
52603B107
134349
549600
SH
SOLE
341408
93528
114664
TRIPADVISOR INC COM STK
COMMON
896945201
416637
10279727
SH
SOLE
3849356
2116752
4313619
TAKE-TWO INTERACTIVE SOFTWARE INC CDT-COM
COMMON
874054109
357300
3495068
SH
SOLE
1330031
926661
1238376
UBIQUITI NETWORKS INC COM USD0.001
COMMON
90347A100
73726
1316083
SH
SOLE
832840
217362
265881
UNITEDHEALTH GROUP INC COM
COMMON
91324P102
86741
442898
SH
SOLE
103197
19863
319838
VISA INC COM CL A STK
COMMON
92826C839
992602
9431799
SH
SOLE
3630742
2102582
3698475
WALGREENS BOOTS ALLIANCE INC COM
COMMON
931427108
12
164
SH
SOLE
0
0
164
WISDOMTREE INVTS INC COM
COMMON
97717P104
33699
3310365
SH
SOLE
1898477
641637
770251
WIX.COM LTD COM ILS0.01
COMMON
M98068105
61232
852230
SH
SOLE
475760
173062
203408
DENTSPLY SIRONA INC COM
COMMON
24906P109
378890
6334906
SH
SOLE
2402370
1686492
2246044
YELP INC CL A
COMMON
985817105
89675
2071037
SH
SOLE
1293514
345800
431723
ZEE ENTERTAIN ENT INR1
COMMON
618853907
43574
5468756
SH
SOLE
1351357
0
4117399
ZALANDO SE NPV
COMMON
D98423102
54875
1095507
SH
SOLE
276456
6266
812785
ZEBRA TECHNOLOGIES CORP CL A
COMMON
989207105
84664
779746
SH
SOLE
471446
139357
168943
SAMSUNG ELECTRONIC KRW5000
COMMON
Y74718100
112023
50047
SH
SOLE
12644
335
37068
TENCENT HLDGS LIMITED COMMON STOCK
COMMON
G87572163
74343
1727296
SH
SOLE
429852
38646
1258798
MONOTARO CO.LTD NPV
COMMON
J46583100
39849
1489207
SH
SOLE
378815
0
1110392
START TODAY CO LTD NPV
COMMON
J7665M102
115070
3630809
SH
SOLE
890169
64242
2676398