0000950123-17-001601.txt : 20170213
0000950123-17-001601.hdr.sgml : 20170213
20170213061548
ACCESSION NUMBER: 0000950123-17-001601
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20161231
FILED AS OF DATE: 20170213
DATE AS OF CHANGE: 20170213
EFFECTIVENESS DATE: 20170213
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: 17595654
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
LIVE
false
true
false
0001313816
XXXXXXXX
12-31-2016
12-31-2016
TimesSquare Capital Management, LLC
7 Times Square
42nd Floor
NEW YORK
NY
10036
13F HOLDINGS REPORT
028-11092
N
Michael Andrews
Interim Chief Compliance Officer
(917) 342-7956
/S/ Michael Andrews
New York
NY
02-13-2017
0
242
14938058
false
INFORMATION TABLE
2
form13fInfoTable.xml
INFORMATION TABLE FOR FORM 13F
2U Inc.
COM
90214J101
54031
1792060
SH
SOLE
1785860
0
6200
A.O. Smith Corp.
COM
831865209
20441
431700
SH
SOLE
336650
0
95050
Acadia Healthcare Co Inc
COM
00404A109
44695
1350290
SH
SOLE
1073440
0
276850
ACI Worldwide Inc.
COM
004498101
35638
1963550
SH
SOLE
1537525
0
426025
Aercap Holdings NV
SHS
N00985106
123794
2975100
SH
SOLE
2345375
0
629725
Albany International Corp
CL A
012348108
81899
1768885
SH
SOLE
1762885
0
6000
Alexion Pharmaceuticals I
COM
015351109
4262
34835
SH
SOLE
32535
0
2300
Allegiant Travel Co
COM
01748X102
108207
650281
SH
SOLE
582786
0
67495
Allergan PLC
SHS
G0177J108
4539
21614
SH
SOLE
21614
0
0
Alliance Data Systems Cor
COM
018581108
197621
864862
SH
SOLE
637402
0
227460
Allied World Assurance Co
SHS
H01531104
36861
686300
SH
SOLE
545050
0
141250
Alnylam Pharmaceuticals I
COM
02043Q107
7443
198800
SH
SOLE
156500
0
42300
Alphabet Inc Class C
CAP STK
02079K107
16617
21529
SH
SOLE
20547
0
982
Amazon.com Inc.
COM
023135106
3716
4956
SH
SOLE
4728
0
228
Amdocs Limited
SHS
G02602103
153540
2635875
SH
SOLE
1869950
0
765925
Amedisys Inc.
COM
023436108
27722
650290
SH
SOLE
647790
0
2500
American Renal Associates
COM
029227105
24856
1168050
SH
SOLE
1163750
0
4300
AMERISAFE Inc.
COM
03071H100
20917
335480
SH
SOLE
334380
0
1100
Ametek Inc
COM
031100100
92299
1899160
SH
SOLE
1519355
0
379805
Amphenol Corp. Cl A
CL A
032095101
83523
1242900
SH
SOLE
986500
0
256400
Apollo Global Management
CL A SHS
037612306
101628
5249400
SH
SOLE
4067100
0
1182300
Apple Inc
COM
037833100
10442
90156
SH
SOLE
85983
0
4173
AptarGroup Inc.
COM
038336103
65774
895500
SH
SOLE
696200
0
199300
Aquaventure Holdings Limi
SHS
G0443N107
27726
1130300
SH
SOLE
1126400
0
3900
Ariad Pharmaceuticals Inc
COM
04033A100
27833
2237365
SH
SOLE
2229565
0
7800
Artisan Partners Asset Ma
CL A
04316A108
47561
1598700
SH
SOLE
1241250
0
357450
Asbury Automotive Group I
COM
043436104
38013
616100
SH
SOLE
478000
0
138100
Aspen Technology Inc.
COM
045327103
34815
636700
SH
SOLE
493400
0
143300
Assured Guaranty Ltd
COM
G0585R106
115693
3063100
SH
SOLE
2422700
0
640400
Atlassian Corporation Plc
CL A
G06242104
40125
1666300
SH
SOLE
1296100
0
370200
Avis Budget Group Inc.
COM
053774105
112747
3073800
SH
SOLE
2420500
0
653300
Axalta Coating Systems Lt
COM
G0750C108
27200
1000000
SH
SOLE
775100
0
224900
Beacon Roofing Supply Inc
COM
073685109
48350
1049490
SH
SOLE
1045590
0
3900
Bio-Rad Laboratories Inc
CL A
090572207
95132
521900
SH
SOLE
410975
0
110925
Blackhawk Network Holding
COM
09238E104
46228
1227030
SH
SOLE
1222730
0
4300
BlackLine Inc
COM
09239B109
23714
858280
SH
SOLE
855280
0
3000
Blue Buffalo Pet Products
COM
09531U102
39369
1637650
SH
SOLE
1275900
0
361750
Booz Allen & Hamilton Inc
CL A
099502106
147909
4100600
SH
SOLE
3242900
0
857700
Boston Scientific Corpora
COM
101137107
65920
3047600
SH
SOLE
2417800
0
629800
Bright Horizons Family So
COM
109194100
172463
2463059
SH
SOLE
2209559
0
253500
Broadridge Financial Solu
COM
11133T103
72174
1088600
SH
SOLE
849750
0
238850
Broadsoft Inc
COM
11133B409
31210
756617
SH
SOLE
754117
0
2500
Brown-Forman Corp. Cl B
CL B
115637209
63531
1414325
SH
SOLE
1133075
0
281250
Brunswick Corp.
COM
117043109
35549
651800
SH
SOLE
505100
0
146700
Burlington Stores Inc
COM
122017106
25821
304670
SH
SOLE
303670
0
1000
BWX Technologies, Inc.
COM
05605H100
46433
1169600
SH
SOLE
910050
0
259550
Cable One Inc
COM
12685J105
67437
108466
SH
SOLE
108011
0
455
CardConnect Corp
COM
14141X108
12968
1021105
SH
SOLE
1014405
0
6700
Cardinal Health Inc.
COM
14149Y108
5793
80493
SH
SOLE
76748
0
3745
Cardtronics Plc
SHS CL A
G1991C105
40953
750472
SH
SOLE
747922
0
2550
Carter's Inc.
COM
146229109
42910
496700
SH
SOLE
386550
0
110150
CBRE Group Inc
CL A
12504L109
134498
4271125
SH
SOLE
3188125
0
1083000
CEB INC.
COM
125134106
79444
1310951
SH
SOLE
1186171
0
124780
Centene Corp.
COM
15135B101
65557
1160100
SH
SOLE
920475
0
239625
Charter Communications In
CL A
16119P108
10937
37986
SH
SOLE
36190
0
1796
Chegg Inc
COM
163092109
32913
4459745
SH
SOLE
4444245
0
15500
Church and Dwight Co
COM
171340102
76762
1737100
SH
SOLE
1378500
0
358600
Cimarex Energy Co.
COM
171798101
51425
378400
SH
SOLE
300400
0
78000
Civitas Solutions Inc
COM
17887R102
44846
2253555
SH
SOLE
2245555
0
8000
Clarcor Inc
COM
179895107
41
500
SH
SOLE
500
0
0
Clean Harbors Inc
COM
184496107
32828
589900
SH
SOLE
587800
0
2100
Cogent Communications Gro
COM NEW
19239V302
42052
1016975
SH
SOLE
1013375
0
3600
Columbia India Small Cap ETF
INDIA SML CP ETF
19762B889
29
2000
SH
SOLE
2000
0
0
Columbia Sportswear Co.
COM
198516106
38880
666900
SH
SOLE
518450
0
148450
CommScope Holding Co Inc
COM
20337X109
47977
1289700
SH
SOLE
1002700
0
287000
comScore Inc.
COM
20564W105
22636
716770
SH
SOLE
714270
0
2500
Copart Inc.
COM
217204106
58829
1061700
SH
SOLE
842450
0
219250
Core-Mark Holding Co. Inc
COM
218681104
1947
45200
SH
SOLE
45200
0
0
CoreLogic, Inc.
COM
21871D103
39776
1080000
SH
SOLE
839050
0
240950
Cornerstone OnDemand Inc.
COM
21925Y103
55020
1300401
SH
SOLE
1010201
0
290200
Costar Group Inc
COM
22160N109
151190
802110
SH
SOLE
637045
0
165065
Costco Wholesale Corp.
COM
22160K105
6456
40320
SH
SOLE
38390
0
1930
CubeSmart
COM
229663109
43073
1609000
SH
SOLE
1252700
0
356300
Cynosure Inc. (Cl A)
CL A
232577205
34843
764100
SH
SOLE
761400
0
2700
Davita Inc
COM
23918K108
269653
4200200
SH
SOLE
3045650
0
1154550
DBV Technologies SA ADR
SPONSORED ADR
23306J101
34368
978303
SH
SOLE
903953
0
74350
Dermira Inc
COM
24983L104
73511
2423711
SH
SOLE
2173411
0
250300
Diamondback Energy Inc
COM
25278X109
25598
253300
SH
SOLE
197200
0
56100
Dick's Sporting Goods Inc
COM
253393102
33129
623900
SH
SOLE
484600
0
139300
Dolby Laboratories Inc. C
COM
25659T107
71536
1583000
SH
SOLE
1253350
0
329650
Dollar Tree Inc.
COM
256746108
150366
1948250
SH
SOLE
1472695
0
475555
Domino's Pizza Inc.
COM
25754A201
74301
466600
SH
SOLE
370375
0
96225
Dun & Bradstreet Corp.
COM
26483E100
40715
335600
SH
SOLE
260750
0
74850
Ecolab Inc
COM
278865100
97404
830950
SH
SOLE
626225
0
204725
Electronic Arts Inc.
COM
285512109
60165
763900
SH
SOLE
605775
0
158125
Electronics for Imaging I
COM
286082102
85843
1957200
SH
SOLE
1756200
0
201000
EMCOR Group Inc
COM
29084Q100
37704
532844
SH
SOLE
530944
0
1900
Endologix Inc.
COM
29266S106
19693
3442785
SH
SOLE
3429885
0
12900
Envestnet Inc.
COM
29404K106
69057
1959060
SH
SOLE
1952360
0
6700
Envision Healthcare Corp
COM
29414D100
25287
399546
SH
SOLE
308854
0
90692
Equifax Inc.
COM
294429105
202908
1716210
SH
SOLE
1242720
0
473490
Evolent Health Inc Cl A
CL A
30050B101
20249
1368200
SH
SOLE
1363400
0
4800
Exlservice Holdings Inc
COM
302081104
67950
1347151
SH
SOLE
1342551
0
4600
Expedia Inc.
COM NEW
30212P303
60911
537700
SH
SOLE
426475
0
111225
Exponent Inc.
CALL
30214U102
52160
865000
SH
SOLE
861800
0
3200
Extraction Oil & Gas LLC
COM
30227M105
37206
1856600
SH
SOLE
1441550
0
415050
Facebook Inc
CL A
30303M102
7670
66665
SH
SOLE
63580
0
3085
Fair Isaac Corp
COM
303250104
60287
505680
SH
SOLE
503830
0
1850
FARO Technologies Inc.
COM
311642102
24290
674709
SH
SOLE
672409
0
2300
Fidelity National Informa
COM
31620M106
86154
1139005
SH
SOLE
919135
0
219870
Fleetcor Technologies Inc
COM
339041105
68425
483500
SH
SOLE
383925
0
99575
Foot Locker Inc
COM
344849104
62872
886900
SH
SOLE
703300
0
183600
Forum Energy Technologies
COM
34984V100
25608
1164000
SH
SOLE
905100
0
258900
G-III Apparel Group Ltd.
COM
36237H101
50914
1722401
SH
SOLE
1513501
0
208900
Gartner Inc
COM
366651107
201473
1993400
SH
SOLE
1463525
0
529875
Genesee and Wyoming Inc
CL A
371559105
107183
1544200
SH
SOLE
1214325
0
329875
Global Eagle Entertainmen
COM
37951D102
12637
1956200
SH
SOLE
1947900
0
8300
Global Payments Inc
COM
37940X102
253754
3655875
SH
SOLE
2687095
0
968780
Graco Inc
COM
384109104
34790
418700
SH
SOLE
326200
0
92500
Grand Canyon Education In
COM
38526M106
36144
618383
SH
SOLE
480593
0
137790
Gulfport Energy Corp
COM NEW
402635304
40632
1877655
SH
SOLE
1871255
0
6400
Hanesbrands Inc
COM
410345102
69531
3223500
SH
SOLE
2557675
0
665825
Harman International Indu
COM
413086109
15562
140000
SH
SOLE
99700
0
40300
Healthcare Services Group
COM
421906108
49613
1266610
SH
SOLE
1262260
0
4350
Henry Schein Inc.
COM
806407102
48456
319400
SH
SOLE
252475
0
66925
Hexcel Corp.
COM
428291108
70756
1375500
SH
SOLE
1091175
0
284325
HFF Inc. Cl A
CL A
40418F108
62115
2053400
SH
SOLE
2046800
0
6600
Hibbett Sports Inc.
COM
428567101
44827
1201795
SH
SOLE
1197695
0
4100
Home Depot Inc.
COM
437076102
7608
56745
SH
SOLE
54120
0
2625
Hubbell Incorporated
COM
443510607
77384
663100
SH
SOLE
525300
0
137800
Huron Consulting Group In
COM
447462102
68223
1346957
SH
SOLE
1215287
0
131670
ICF International Inc.
COM
44925C103
41936
759714
SH
SOLE
757014
0
2700
Imax Corporation
COM
45245E109
100881
3212769
SH
SOLE
2922369
0
290400
Inc Research Holdings Inc
CL A
45329R109
53652
1020000
SH
SOLE
791900
0
228100
Inogen Inc.
COM
45780L104
42281
629465
SH
SOLE
627265
0
2200
Inter Parfums Inc
COM
458334109
25752
786329
SH
SOLE
782929
0
3400
Intercontinental Exchange
COM
45866F104
7981
141450
SH
SOLE
135025
0
6425
Intra-Cellular Therapies
COM
46116X101
23162
1534938
SH
SOLE
1343538
0
191400
Intuit Inc.
COM
461202103
6388
55740
SH
SOLE
52935
0
2805
IPG Photonics Corp.
COM
44980X109
18755
190000
SH
SOLE
147400
0
42600
iShares India 50 ETF
MSCI INDIA ETF
46429B598
74
2700
SH
SOLE
2700
0
0
iShares MSCI India ETF
MSCI INDIA ETF
46429B598
72
2700
SH
SOLE
2700
0
0
iShares MSCI India Small Cap ETF
INDIA 50 ETF
46249B614
70
2100
SH
SOLE
2100
0
0
iShares Russell Midcap Gr
RUS MD CP GR ETF
464287481
1344
13800
SH
SOLE
7300
0
6500
ITT Inc
COM
45073V108
34732
900500
SH
SOLE
699100
0
201400
J.B. Hunt Transport Servi
COM
445658107
89060
917485
SH
SOLE
738975
0
178510
J2 Global Inc.
COM
48123V102
162253
1983532
SH
SOLE
1799182
0
184350
Jack Henry and Associates
COM
426281101
74260
836450
SH
SOLE
649950
0
186500
K2M Group Holdings Inc
COM
48273J107
30579
1525900
SH
SOLE
1520600
0
5300
KBR Inc.
COM
48242W106
41004
2456815
SH
SOLE
2448415
0
8400
Kennedy-Wilson Holdings I
COM
489398107
74515
3634861
SH
SOLE
3622411
0
12450
Knight Transportation Inc
COM
499064103
41327
1250450
SH
SOLE
1246150
0
4300
L3 Technologies Inc
Common Stock
502413107
126000
828345
SH
SOLE
639145
0
189200
Lincoln Electric Holdings
COM
533900106
48793
636400
SH
SOLE
505375
0
131025
Lithia Motors Inc. Cl A
CL A
536797103
44690
461526
SH
SOLE
459926
0
1600
Littelfuse Inc.
COM
537008104
37179
244970
SH
SOLE
244170
0
800
Macom Technology Solution
COM
55405Y100
49344
1066200
SH
SOLE
1062600
0
3600
Marriott Vacations Worldw
COM
57164Y107
16435
193700
SH
SOLE
150200
0
43500
Martin Marietta Materials
COM
573284106
122990
555185
SH
SOLE
427600
0
127585
Matador Resources Company
COM
576485205
52468
2036800
SH
SOLE
1918450
0
118350
Maximus Inc
COM
577933104
51613
925128
SH
SOLE
921528
0
3600
Mednax Inc
COM
58502B106
51935
779100
SH
SOLE
604900
0
174200
MGP Ingredients Inc.
COM
55303J106
30398
608200
SH
SOLE
606100
0
2100
Microsoft Corp.
COM
594918104
7816
125780
SH
SOLE
119985
0
5795
Milacron Holdings Corp
COM
59870L106
38061
2043000
SH
SOLE
2036000
0
7000
MKS Instruments Inc.
COM
55306N104
88296
1486470
SH
SOLE
1481370
0
5100
Monro Muffler Inc
COM
610236101
83787
1464809
SH
SOLE
1459859
0
4950
Nasdaq Inc
COM
631103108
65992
983200
SH
SOLE
780225
0
202975
National Storage Affiliat
COM SHS BEN IN
637870106
48700
2206600
SH
SOLE
2198800
0
7800
Netflix Inc.
COM
64110L106
4468
36090
SH
SOLE
34455
0
1635
Neurocrine Biosciences In
COM
64125C109
20554
531100
SH
SOLE
413200
0
117900
NIC Inc
COM
62914B100
51014
2134462
SH
SOLE
2127062
0
7400
NICE Ltd
SPONSORED ADR
653656108
43443
631800
SH
SOLE
490500
0
141300
Nielsen Holdings PLC
SHS EUR
G6518L108
153777
3665725
SH
SOLE
2691875
0
973850
Nord Anglia Education Inc
SHS
G6583A102
41827
1795166
SH
SOLE
1788866
0
6300
NXP Semiconductors NV
COM
N6596X109
61957
632150
SH
SOLE
501625
0
130525
O'Reilly Automotive Inc
COM
67103H107
193697
695725
SH
SOLE
489750
0
205975
Old Dominion Freight Line
COM
679580100
27950
325800
SH
SOLE
252200
0
73600
Ollie s Bargain Outlet Ho
COM
681116109
45375
1594900
SH
SOLE
1589400
0
5500
On Assignment Inc
COM
682159108
113813
2577296
SH
SOLE
2561196
0
16100
Open Text Corporation
COM
683715106
49263
797000
SH
SOLE
631475
0
165525
Orbital ATK Inc
COM
68557N103
129934
1481071
SH
SOLE
1329889
0
151182
Papa John's International
COM
698813102
27625
322800
SH
SOLE
250300
0
72500
Patheon NV
SHS
N6865W105
55669
1939000
SH
SOLE
1536700
0
402300
Paycom Software Inc.
COM
70432V102
67164
1476450
SH
SOLE
1471350
0
5100
Paylocity Holding Corp
COM
70438V106
35088
1169200
SH
SOLE
908000
0
261200
PDC Energy Inc
COM
69327R101
43175
594859
SH
SOLE
592459
0
2400
Pegasystems Inc.
COM
705573103
28289
785800
SH
SOLE
783000
0
2800
Performance Foods Group C
COM
71377A103
44902
1870910
SH
SOLE
1453910
0
417000
PolyOne Corp.
COM
73179P106
65249
2036484
SH
SOLE
2029384
0
7100
Pool Corporation
COM
73278L105
68739
658800
SH
SOLE
522825
0
135975
Pra Health Sciences Inc
COM
69354M108
68490
1242555
SH
SOLE
1238505
0
4050
Premier Inc
CL A
74051N102
79261
2610700
SH
SOLE
2071700
0
539000
Proassurance Corporation
COM
74267C106
118305
2105080
SH
SOLE
1807430
0
297650
Progressive Corp.
COM
743315103
94795
2670295
SH
SOLE
2136195
0
534100
Proto Labs Inc
COM
743713109
79487
1547950
SH
SOLE
1378750
0
169200
Q2 Holdings Inc
COM
74736L109
60005
2079903
SH
SOLE
2072303
0
7600
Range Resources Corp.
COM
75281A109
88366
2571778
SH
SOLE
2024154
0
547624
RBC Bearings Inc
COM
75524B104
42616
459178
SH
SOLE
457578
0
1600
Renaissancere Holdings Lt
COM
G7496G103
135699
996175
SH
SOLE
763400
0
232775
Repligen Corp.
COM
759916109
44949
1458425
SH
SOLE
1309225
0
149200
Rexnord Holdings Inc
COM
76169B102
89587
4573122
SH
SOLE
4120322
0
452800
Ross Stores Inc.
COM
778296103
83965
1279950
SH
SOLE
1015450
0
264500
RPM International Inc
COM
749685103
128842
2393500
SH
SOLE
1883700
0
509800
Ryanair Holdings plc - SP
SPONSORED ADR NE
783513203
88922
1068000
SH
SOLE
847275
0
220725
S S and C Technologies Ho
COM
78467J100
65119
2276900
SH
SOLE
1807400
0
469500
S&P Global
COM
78409V104
139830
1300260
SH
SOLE
960545
0
339715
SBA Communications Corp
Common Stock
78410G104
338991
3282885
SH
SOLE
2395195
0
887690
Science Applications Inte
COM
808625107
51390
606015
SH
SOLE
606015
0
0
Sealed Air Corp.
COM
81211K100
90104
1987300
SH
SOLE
1578900
0
408400
Servicemaster Global Hold
COM
81761R109
108927
2891600
SH
SOLE
2279400
0
612200
Shenandoah Telecommunicat
COM
82312B106
41599
1523775
SH
SOLE
1518175
0
5600
Signature Bank
COM
82669G104
96579
643000
SH
SOLE
506500
0
136500
Sportsmans Warehouse Hold
COM
84920Y106
23251
2476100
SH
SOLE
2466900
0
9200
Sprouts Farmers Markets L
COM
85208M102
64827
3426400
SH
SOLE
2711800
0
714600
Starbucks Corp.
COM
855244109
4752
85592
SH
SOLE
81662
0
3930
Summit Materials Inc
CL A
86614U100
41665
1751381
SH
SOLE
1745522
0
5859
Surgery Partners Inc
COM
86881A100
32683
2062000
SH
SOLE
1607200
0
454800
Surgical Care Affiliates
COM
86881L106
82046
1773200
SH
SOLE
1610550
0
162650
SVB Financial Group
COM
78486Q101
101889
593550
SH
SOLE
468200
0
125350
Taylor Morrison Home Corp
CL A
87724P106
5576
289500
SH
SOLE
225650
0
63850
Team Health Holding Inc.
COM
87817A107
87659
2017474
SH
SOLE
1853974
0
163500
Tempur Sealy Internationa
COM
88023U101
84599
1239000
SH
SOLE
976150
0
262850
The Advisory Board Co
COM
00762W107
91475
2751137
SH
SOLE
2497407
0
253730
The Ultimate Software Gro
COM
90385D107
146647
804205
SH
SOLE
709925
0
94280
Tractor Supply Company
COM
892356106
66548
877825
SH
SOLE
697425
0
180400
Transdigm Group Inc
COM
893641100
66746
268100
SH
SOLE
212550
0
55550
Transunion
COM
89400J107
81272
2627600
SH
SOLE
2042500
0
585100
Trinet Group Inc
COM
896288107
39075
1525175
SH
SOLE
1519675
0
5500
Tyler Technologies Inc.
COM
902252105
116423
815460
SH
SOLE
640050
0
175410
Universal Health Services
CL B
913903100
83647
786300
SH
SOLE
624675
0
161625
Valvoline Inc
COM
92047W101
33766
1570500
SH
SOLE
1220950
0
349550
VanEck Vectors India Small Cap Index
INDIA SMALL CAP
92189F767
67
1600
SH
SOLE
1600
0
0
Vantiv Inc
CL A
92210H105
140924
2363700
SH
SOLE
1862550
0
501150
Verisk Analytics Inc. Cl
COM
92345Y106
66097
814300
SH
SOLE
646000
0
168300
Vertex Pharmaceuticals In
COM
92532F100
53683
728700
SH
SOLE
576025
0
152675
Visa Inc.
COM CL A
92826C839
7840
100490
SH
SOLE
95770
0
4720
Wabco Holdings Inc
COM
92927K102
136221
1283290
SH
SOLE
1013695
0
269595
WageWorks Inc
COM
930427109
111382
1536309
SH
SOLE
1412729
0
123580
Watsco Inc.
COM
942622200
25951
175200
SH
SOLE
135550
0
39650
Watts Water Technologies
CL A
942749102
22237
341060
SH
SOLE
339860
0
1200
West Corporation
COM
952355204
24321
982284
SH
SOLE
977634
0
4650
Wex Inc
COM
96208T104
153941
1379399
SH
SOLE
1237949
0
141450
WildHorse Resource Develo
COM
96812T102
26696
1828500
SH
SOLE
1822200
0
6300
William Lyon Homes Shs A
CL A NEW
552074700
33174
1743230
SH
SOLE
1737230
0
6000
Wisdomtree India Earnings Fund ETF
INDIA ERNGS FD
97717W422
67
3300
SH
SOLE
3300
0
0
WisdomTree Investments In
COM
97717P104
48975
4396285
SH
SOLE
3951085
0
445200
WNS Holdings Ltd ADR
SPON ADR
92932M101
67690
2456975
SH
SOLE
1938725
0
518250
Woodward Inc.
COM
980745103
37722
546300
SH
SOLE
424950
0
121350
Wyndham Worldwide Corp.
COM
98310W108
72544
949900
SH
SOLE
756350
0
193550
Xilinx Inc.
COM
983919101
92378
1530200
SH
SOLE
1215150
0
315050
Zayo Group Holdings Inc
COM
98919V105
66604
2026900
SH
SOLE
1608650
0
418250