0001144204-16-134460.txt : 20161115
0001144204-16-134460.hdr.sgml : 20161115
20161114182551
ACCESSION NUMBER: 0001144204-16-134460
CONFORMED SUBMISSION TYPE: 13F-HR/A
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20160930
FILED AS OF DATE: 20161115
DATE AS OF CHANGE: 20161114
EFFECTIVENESS DATE: 20161115
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/A
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-16230
FILM NUMBER: 161997121
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/A
1
primary_doc.xml
13F-HR/A
LIVE
false
false
false
0001605911
XXXXXXXX
09-30-2016
09-30-2016
true
1
RESTATEMENT
false
Jackson Square Partners, LLC
101 California Street
Ste 3750
San Francisco
CA
94111
13F COMBINATION REPORT
028-16230
0000727770
028-05267
DELAWARE MANAGEMENT BUSINESS TRUST
N
Sean Kreiger
Chief Compliance Officer
415-635-0213
/s/ Sean Kreiger
San Francisco
CA
11-14-2016
0
88
22312704
INFORMATION TABLE
2
infotable.xml
ABIOMED INC
COMMON
003654100
85990
668773
SH
SOLE
287829
278538
102406
ALLERGAN PLC
COMMON
G0177J108
838536
3640905
SH
SOLE
1326627
795859
1518419
AMADEUS IT GROUP EUR0.01
COMMON
E04908112
100358
2007441
SH
SOLE
549570
54723
1403148
AFFILIATED MANAGERS GROUP INC
COMMON
008252108
69083
477426
SH
SOLE
187066
207284
83076
ARISTA NETWORKS INC
COMMON
040413106
34115
400981
SH
SOLE
183640
162778
54563
ATHENAHEALTH INC
COMMON
04685W103
48592
385291
SH
SOLE
149195
168506
67590
AUTO TRADER GROUP ORD GBP0.01
COMMON
G06708104
5196
987500
SH
SOLE
269932
26990
690578
BAIDU INC
ADR
056752108
118620
651513
SH
SOLE
174508
34277
442728
BIOGEN INC
COMMON
09062X103
805297
2572589
SH
SOLE
962127
568659
1041803
BLACKBAUD INC
COMMON
09227Q100
104873
1580855
SH
SOLE
726927
639800
214128
BRISTOL MYERS SQUIBB CO COM
COMMON
110122108
9184
170344
SH
SOLE
8010
100137
62197
CROWN CASTLE INTERNATIONAL COR
REIT
22822V101
782285
8303631
SH
SOLE
3329067
1898488
3076076
CELGENE CORP
COMMON
151020104
968315
9263518
SH
SOLE
3466510
1981102
3815906
CORE LABORATORIES NV
COMMON
N22717107
117053
1042052
SH
SOLE
401873
269838
370341
DOLLAR GEN CORP NEW COM
COMMON
256677105
229515
3279261
SH
SOLE
1238704
827253
1213304
DINEEQUITY INC
COMMON
254423106
98026
1237862
SH
SOLE
500212
528176
209474
DISCOVERY COMMUNICATIONS INC
COMMON
25470F104
2710
100679
SH
SOLE
5327
53477
41875
DISCOVERY COMMUNICATIONS INC
COMMON
25470F302
3011
114456
SH
SOLE
5890
60215
48351
DUNKIN' BRANDS GROUP INC
COMMON
265504100
119882
2301897
SH
SOLE
912375
994462
395060
ELECTRONIC ARTS INC
COMMON
285512109
804147
9416250
SH
SOLE
3641174
1884532
3890544
EBAY INC
COMMON
278642103
814931
24769943
SH
SOLE
9409855
5166037
10194051
NIC INC
COMMON
62914B100
35615
1515570
SH
SOLE
672962
622598
220010
ELLIE MAE INC
COMMON
28849P100
37122
352539
SH
SOLE
146612
148537
57390
EOG RESOURCES INC
COMMON
26875P101
904
9354
SH
SOLE
599
4061
4694
EQUITY COMMONWEALTH
REIT
294628102
187270
6196907
SH
SOLE
2853608
1927771
1415528
EQUINIX INC
REIT
29444U700
352805
979336
SH
SOLE
378429
238798
362109
EXPEDITORS INTERNATIONAL OF WA
COMMON
302130109
60857
1181243
SH
SOLE
503920
492750
184573
EXPERIAN ORD USD0.10
COMMON
G32655105
110194
5499244
SH
SOLE
1488275
182115
3828854
FACEBOOK INC
COMMON
30303M102
647413
5047269
SH
SOLE
1929287
1252586
1865396
GRACO INC
COMMON
384109104
93560
1264327
SH
SOLE
580393
512514
171420
ALPHABET INC CL C
COMMON
02079K107
566043
728227
SH
SOLE
275603
152833
299791
ALPHABET INC CL A
COMMON
02079K305
705630
877585
SH
SOLE
332976
189711
354898
GRIFOLS SA
COMMON
E5706X215
75597
3506028
SH
SOLE
952442
95558
2458028
SCOUT24 AG NPV
COMMON
D345XT105
69861
2071451
SH
SOLE
522643
163103
1385705
INTERCONTINENTAL EXCHANGE INC
COMMON
45866F104
695267
2581183
SH
SOLE
1000755
499229
1081199
INTERCONTL HOTELS ORD GBP0.1896656535
COMMON
G4804L148
70677
1712561
SH
SOLE
468870
46684
1197007
IMS HEALTH HLDGS INC COM
COMMON
44970B109
162475
5184270
SH
SOLE
1978617
1300364
1905289
IHS MARKIT LTD COM
COMMON
G47567105
88186
2348506
SH
SOLE
610844
140192
1597470
INTUIT INC
COMMON
461202103
372299
3384229
SH
SOLE
1228586
680369
1475274
INTERTEK GROUP ORD GBP0.01
COMMON
G4911B108
96010
2120352
SH
SOLE
579987
57801
1482564
J2 GLOBAL INC
COMMON
48123V102
101807
1528419
SH
SOLE
619595
652219
256605
KINDER MORGAN INC DEL COM
COMMON
49456B101
12434
537586
SH
SOLE
25306
315280
197000
L BRANDS INC
COMMON
501797104
495747
7005056
SH
SOLE
2763808
1642522
2598726
Liberty Global plc
COMMON
G5480U104
80681
2360476
SH
SOLE
836538
604175
919763
Liberty Global plc
COMMON
G5480U120
361131
10930139
SH
SOLE
4019642
2321862
4588635
LENDINGCLUB CORP
COMMON
52603A109
45879
7423808
SH
SOLE
2438670
3406315
1578823
LOGITECH INTERNATIONAL SA
COMMON
H50430232
5367
238982
SH
SOLE
238982
0
0
LOGITECH INTL CHF0.25 (REGD)
COMMON
H50430232
96176
4285591
SH
SOLE
1673956
1885446
726189
LIBERTY TRIPADVISOR HOLDINGS I
COMMON
531465102
84908
3885963
SH
SOLE
1420561
1727757
737645
MASTERCARD INC
COMMON
57636Q104
797083
7832204
SH
SOLE
2887320
1691616
3253268
MERCADOLIBRE INC COM STK
COMMON
58733R102
68781
371853
SH
SOLE
100201
17069
254583
MANITOWOC FOODSERVICE INC COM
COMMON
563568104
4897
301919
SH
SOLE
16168
160233
125518
MSCI INC
COMMON
55354G100
73427
874764
SH
SOLE
374202
363676
136886
MICROSOFT CORP
COMMON
594918104
947633
16451968
SH
SOLE
6263614
3481380
6706974
NIELSEN HOLDSINGS PLC
COMMON
G6518L108
465110
8682301
SH
SOLE
3171206
1837101
3673994
NOVO-NORDISK AS DKK0.2 SER'B'
COMMON
K72807132
74639
1795133
SH
SOLE
480588
48936
1265609
NOVO NORDISK A/S
ADR
670100205
276135
6639477
SH
SOLE
2457214
1680889
2501374
NXP SEMICONDUCTOR NV
COMMON
N6596X109
150450
1474859
SH
SOLE
359523
147597
967739
OUTFRONT MEDIA INC
REIT
69007J106
94682
4003508
SH
SOLE
1541865
1737963
723680
PANDORA MEDIA INC
COMMON
698354107
101891
7110370
SH
SOLE
2504692
3201296
1404382
VERIFONE SYSTEMS INC
COMMON
92342Y109
110318
7008804
SH
SOLE
2403358
1793077
2812369
PAYCOM SOFTWARE INC COM
COMMON
70432V102
32824
654781
SH
SOLE
272394
276971
105416
PAYPAL HOLDINGS INC
COMMON
70450Y103
1065063
25996172
SH
SOLE
9698920
5524791
10772461
QUINTILES TRANSNATIONAL HLDGS INC COM
COMMON
74876Y101
322009
3972481
SH
SOLE
1522173
983410
1466898
QUALCOMM INC
COMMON
747525103
1027192
14995509
SH
SOLE
5745199
3083527
6166783
QUOTIENT TECHNOLOGY INC
COMMON
749119103
28822
2165496
SH
SOLE
914171
908087
343238
LIBERTY INTERACTIVE CORP-A
COMMON
53071M104
676970
33831616
SH
SOLE
13441004
7855739
12534873
LOCALIZA RENT A CA COM NPV
COMMON
P6330Z111
41494
3409922
SH
SOLE
931824
106545
2371553
SALLY BEAUTY HOLDINGS INC
COMMON
79546E104
169299
6592673
SH
SOLE
2964128
2134538
1494007
SIGNET JEWELERS LTD ORD USD0.18
COMMON
G81276100
645
8659
SH
SOLE
417
5009
3233
SHUTTERSTOCK INC
COMMON
825690100
68133
1069601
SH
SOLE
404424
466698
198479
SYMANTEC CORP COM
COMMON
871503108
565123
22514884
SH
SOLE
8500362
4736022
9278500
BIO-TECHNE CORP
COMMON
09073M104
104511
954443
SH
SOLE
439006
386068
129369
LENDINGTREE INC NEW COM USD0.01
COMMON
52603B107
34916
360299
SH
SOLE
142173
155544
62582
TRIPADVISOR INC
COMMON
896945201
609442
9646137
SH
SOLE
3677424
1869856
4098857
TAIWAN SEMICONDUCTOR MANUFACTU
ADR
874039100
85551
2796710
SH
SOLE
765051
76238
1955421
GRUPO TELEVISA SAB
ADR
40049J206
74745
2909524
SH
SOLE
793284
90034
2026206
VISA INC
COMMON
92826C839
1084145
13109374
SH
SOLE
5066619
2701719
5341036
WALGREENS BOOTS ALLIANCE INC
COMMON
931427108
329502
4087112
SH
SOLE
1485001
821633
1780478
WISDOMTREE INVESTMENTS INC
COMMON
97717P104
40790
3964074
SH
SOLE
1439484
1775248
749342
Dentsply Sirona Inc.
COMMON
24906P109
338368
5693569
SH
SOLE
2192407
1398552
2102610
YELP INC
COMMON
985817105
61144
1466299
SH
SOLE
564412
633387
268500
ZEE ENTERTAINMENT INR1
COMMON
618853907
54607
6652394
SH
SOLE
1789707
181384
4681303
ZALANDO SE NPV
COMMON
D98423102
49646
1188743
SH
SOLE
323393
36336
829014
ZEBRA TECHNOLOGIES CORP
COMMON
989207105
180988
2600031
SH
SOLE
915339
696945
987747
TENCENT HLDGS LIMITED COMMON STOCK
COMMON
G87572163
108429
3948513
SH
SOLE
1025157
360087
2563269
MONOTARO CO.LTD NPV
COMMON
J46583100
36446
1367821
SH
SOLE
373804
37940
956077
START TODAY CO LTD NPV
COMMON
J7665M102
85220
4991571
SH
SOLE
1318575
237642
3435354