
RS INVESTMENT MANAGEMENT CO LLC
Latest 13F filing data - Q2 2016
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HWC | 837K | $21.86M |
![]() | IRM | 831K | $33.09M |
![]() | EPD | 825K | $24.13M |
![]() | LGND | 825K | $98.37M |
![]() | PFE | 793K | $27.92M |
![]() | LBRDK | 783K | $46.99M |
![]() | FAF | 779K | $31.35M |
![]() | LOPE | 771K | $30.78M |
![]() | AFL | 767K | $55.38M |
![]() | WFC | 760K | $35.96M |
![]() | CVX | 744K | $77.95M |
![]() | PINC | 727K | $23.79M |
![]() | CUBE | 725K | $22.40M |
![]() | UE | 724K | $21.61M |
![]() | IART | 710K | $56.60M |
![]() | AXP | 701K | $42.58M |
![]() | APOG | 692K | $32.08M |
![]() | LSCC | 675K | $3.61M |
![]() | BWXT | 673K | $24.07M |
![]() | CDNS | 672K | $16.32M |

Hancock Whitney Corporation
HWC
Shares Held
837K
Value
$21.86M

Iron Mountain Incorporated
IRM
Shares Held
831K
Value
$33.09M

Enterprise Products Partners L.P.
EPD
Shares Held
825K
Value
$24.13M

Ligand Pharmaceuticals Incorporated
LGND
Shares Held
825K
Value
$98.37M

Pfizer Inc.
PFE
Shares Held
793K
Value
$27.92M

Liberty Broadband Corporation
LBRDK
Shares Held
783K
Value
$46.99M

First American Financial Corporation
FAF
Shares Held
779K
Value
$31.35M

Grand Canyon Education, Inc.
LOPE
Shares Held
771K
Value
$30.78M

Aflac Incorporated
AFL
Shares Held
767K
Value
$55.38M

Wells Fargo & Company
WFC
Shares Held
760K
Value
$35.96M

Chevron Corporation
CVX
Shares Held
744K
Value
$77.95M

Premier, Inc.
PINC
Shares Held
727K
Value
$23.79M

CubeSmart
CUBE
Shares Held
725K
Value
$22.40M

Urban Edge Properties
UE
Shares Held
724K
Value
$21.61M

Integra LifeSciences Holdings Corporation
IART
Shares Held
710K
Value
$56.60M

American Express Company
AXP
Shares Held
701K
Value
$42.58M

Apogee Enterprises, Inc.
APOG
Shares Held
692K
Value
$32.08M

Lattice Semiconductor Corporation
LSCC
Shares Held
675K
Value
$3.61M

BWX Technologies, Inc.
BWXT
Shares Held
673K
Value
$24.07M

Cadence Design Systems, Inc.
CDNS
Shares Held
672K
Value
$16.32M
