COLUMBIA PARTNERS L L C INVESTMENT MANAGEMENT Information

5425 WISCONSIN AVENUE, CHEVY CHASE, Maryland, 20815, (240) 482-0400

Report Date: 09/30/2014

Position Statistics

Total Positions 408
New Positions 71
Increased Positions 162
Decreased Positions 240
Positions with Activity 402
Sold Out Positions 75
Total Mkt Value (in $ millions) 2,021

Institutional Holdings information is filed by major institutions on form 13-F with the Securities and Exchange Commission.

Sector Weighting

Basic Materials 2.68%
Capital Goods 2.06%
Conglomerates 0.06%
Consumer Cyclical 3.34%
Consumer/Non-Cyclical 6.21%
Energy 5.07%
Financial 10.51%
Healthcare 14.76%
Services 26.63%
Technology 22.79%
Transportation 2.83%
Utilities 0.83%

162 INCREASED Positions as of 09/30/2014

Company Class Value of Shares ($1,000s) ▼ Change in Value ($1,000s) Change (%) Shares Held
APPLE INC COM 46,409 1,648 3.68 410,769
KFORCE INC COM 25,662 1,674 6.98 1,092,468
GOOGLE INC CL C 24,724 8,920 56.44 45,790
CARDTRONICS INC COM 23,066 864 3.89 670,720
ACTUA CORP COM 22,099 64 .29 1,324,116
MASTERCARD INC CL A 21,650 497 2.35 256,552
HERSHA HOSPITALITY TR SH BEN INT A 20,258 16 .08 2,979,077
TETRAPHASE PHARMACEUTICALS INC COM 16,733 12,816 327.14 497,858
FERRO CORP COM 16,070 438 2.80 1,345,906
LDR HLDG CORP COM 15,819 8,708 122.44 458,663
MONSTER BEVERAGE CORP COM 15,568 7,273 87.69 130,480
INTEGRATED DEVICE TECHNOLOGY COM 15,291 7,959 108.55 807,778
BRISTOL MYERS SQUIBB CO COM 15,053 1,444 10.61 242,516
SPECTRANETICS CORP COM 14,901 3,221 27.58 430,031
DUPONT FABROS TECHNOLOGY INC COM 14,795 4,381 42.07 395,389
VERINT SYS INC COM 14,337 10,297 254.88 254,526
MONSANTO CO NEW COM 14,225 218 1.56 120,096
ORACLE CORP COM 14,154 151 1.08 320,303
ZELTIQ AESTHETICS INC COM 14,132 14,132 New 469,804
BIOGEN IDEC INC COM 14,060 2,218 18.73 39,325