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Institutional Investment Manager
PRIMECAP MANAGEMENT CO/CA/
PRIMECAP MANAGEMENT CO/CA/ (CIK: 0000763212), located at 177 East Colorado Blvd., Pasadena, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001104659-15-059497) filed in 2015.08.13
#
Name
Shares
Value ($)
%
Options
Notes
1 SOUTHWEST AIRLS CO 77,813,973 2,574,864 2.53%
2 ERICSSON 70,257,604 733,489 0.72%
3 BLACKBERRY LTD 68,300,207 558,696 0.55%
4 MICROSOFT CORP 62,824,927 2,773,721 2.73%
5 SCHWAB CHARLES CORP NEW 60,570,527 1,977,628 1.95%
6 LILLY ELI & CO 60,059,630 5,014,379 4.93%
7 TEXAS INSTRS INC 57,276,849 2,950,330 2.90%
8 FLEX LTD 52,674,005 595,743 0.59%
9 BOSTON SCIENTIFIC CORP 46,097,564 815,927 0.80%
10 SONY CORP 45,766,250 1,299,304 1.28%
11 HEWLETT-PACKARD COMPANY 42,450,783 1,273,948 1.25%
12 NETAPP INC 39,185,758 1,236,703 1.22%
13 MICRON TECHNOLOGY INC 37,983,749 715,614 0.70%
14 ADOBE SYS INC 36,683,855 2,971,759 2.92%
15 Agnico Eagle 36,027,839 950,775 0.94%
16 NVIDIA CORP 32,847,415 660,562 0.65%
17 INTEL CORP 32,232,335 980,346 0.96%
18 AMGEN INC 31,351,688 4,813,111 4.73%
19 CISCO SYS INC 25,858,464 710,073 0.70%
20 CARNIVAL CORP 23,919,580 1,181,388 1.16%
21 QIAGEN NV 22,703,966 562,831 0.55%
22 NOVARTIS A G 22,137,858 2,177,037 2.14%
23 TRANSOCEAN LTD 22,096,775 356,200 0.35%
24 JETBLUE AIRWAYS CORP 21,803,014 452,631 0.45%
25 L BRANDS INC 21,321,837 1,827,921 1.80%
26 UNITED CONTL HLDGS INC 20,378,085 1,080,242 1.06%
27 SPRINT CORP 20,085,000 91,588 0.09%
28 CORNING INC 19,864,300 391,923 0.39%
29 NEKTAR THERAPEUTICS 19,706,886 246,533 0.24%
30 DELTA AIR LINES INC DEL 19,059,645 782,970 0.77%
31 MARSH & MCLENNAN COS INC 18,950,551 1,074,496 1.06%
32 AIRBUS GROUP 18,355,017 1,189,937 1.17%
33 ABBOTT LABS 17,737,310 870,547 0.86%
34 QUALCOMM INC 16,994,435 1,064,361 1.05%
35 AMERICAN AIRLS GROUP INC 16,553,420 661,061 0.65%
36 BIOGEN INC 16,501,541 6,665,632 6.56%
37 MEDTRONIC PLC 16,396,096 1,214,951 1.20%
38 ROSS STORES INC 16,146,500 784,881 0.77%
39 NUANCE COMMUNICATIONS INC 15,806,438 276,771 0.27%
40 FEDEX CORP 15,157,346 2,582,812 2.54%
41 WELLS FARGO CO NEW 14,510,242 816,056 0.80%
42 TRIMBLE INC 13,780,615 323,293 0.32%
43 ALTERA CORPORATION 13,499,807 691,190 0.68%
44 CARMAX INC 13,392,932 886,746 0.87%
45 IMMUNOGEN INC 12,867,483 185,034 0.18%
46 TJX COS INC NEW 12,544,296 830,056 0.82%
47 MONSANTO CO NEW 12,486,877 1,330,976 1.31%
48 DirectTV Com 12,457,523 1,155,934 1.14%
49 AXCELIS TECHNOLOGIES INC 12,342,000 36,532 0.04%
50 SOLAZYME INC 11,972,209 37,593 0.04%
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