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Institutional Investment Manager
CAMBIAR INVESTORS LLC
CAMBIAR INVESTORS LLC (CIK: 0000823621) incorporated in Delaware, located at 200 Columbine Street, Denver, CO. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Portfolio Summary: 158 holdings with a total value of $6,577,094,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 NOVARTIS A G 1,559,773 144,529,000 2.20%
2 FORD MTR CO DEL 9,028,887 139,948,000 2.13%
3 ISHARES NASDAQ BIOTECHNOLOGY ETF 246,379 130,743,000 1.99%
4 SONY GROUP CORP 6,066,152 124,174,000 1.89%
5 QUALCOMM INC 1,624,451 120,745,000 1.84%
6 ACTIVISION BLIZZARD INC 5,951,770 119,928,000 1.82%
7 BAXTER INTL INC 1,567,469 114,880,000 1.75%
8 MCDONALDS CORP 1,210,498 113,424,000 1.72%
9 AMERICAN EXPRESS CO 1,205,229 112,135,000 1.70%
10 CITIZENS FINL GROUP INC 4,321,385 107,430,000 1.63%
11 ABBOTT LABS 2,251,993 101,385,000 1.54%
12 REGIONS FINANCIAL CORP NEW 9,507,165 100,396,000 1.53%
13 MONSANTO CO NEW 834,215 99,664,000 1.52%
14 BB&T CORP 2,507,502 97,517,000 1.48%
15 METLIFE INC 1,794,194 97,048,000 1.48%
16 CAPITAL ONE FINL CORP 1,164,488 96,128,000 1.46%
17 MGM RESORTS INTERNATIONAL 4,461,257 95,382,000 1.45%
18 AGILENT TECHNOLOGIES INC 2,291,420 93,811,000 1.43%
19 COMCAST CORP NEW 1,589,271 92,194,000 1.40%
20 VERIZON COMMUNICATIONS INC 1,899,772 88,871,000 1.35%
21 EMERSON ELEC CO 1,408,926 86,973,000 1.32%
22 TARGET CORP 1,073,450 81,486,000 1.24%
23 EMC 2,708,179 80,541,000 1.22%
24 VANTIV INC 2,368,390 80,336,000 1.22%
25 VALERO ENERGY CORP NEW 1,589,953 78,703,000 1.20%
26 EXPRESS SCRIPTS HLDG CO 921,750 78,045,000 1.19%
27 WILLIS TOWERS WATSON PLC 1,740,930 78,011,000 1.19%
28 VODAFONE GROUP PLC NEW 2,264,211 77,368,000 1.18%
29 CVS HEALTH CORP 797,571 76,814,000 1.17%
30 STANLEY BLACK &DECKER INC 797,682 76,641,000 1.17%
31 SYNCHRONY FINL 2,567,568 76,385,000 1.16%
32 HONEYWELL INTL INC 762,002 76,139,000 1.16%
33 ACE LTD 661,234 75,963,000 1.15%
34 Nielsen Holdings B.V. 1,697,533 75,931,000 1.15%
35 AETNA INC NEW 853,942 75,856,000 1.15%
36 MANPOWER INC 1,105,977 75,394,000 1.15%
37 ANADARKO PETR 905,802 74,729,000 1.14%
38 AMDOCS LTD 1,589,518 74,159,000 1.13%
39 UNIVERSAL HLTH SVCS INC 664,739 73,959,000 1.12%
40 MERCK & CO INC 1,266,944 71,950,000 1.09%
41 EOG RES INC 751,595 69,199,000 1.05%
42 DOW CHEM CO 1,484,998 67,731,000 1.03%
43 SUMITOMO MITSUI FINL GROUP INCORPORATED SPONSORED ADR 9,207,310 67,029,000 1.02%
44 TAIWAN SEMICONDUCTOR MFG LTD 2,608,180 58,371,000 0.89%
45 CHECK POINT SOFTWARE TECH LT 672,426 52,833,000 0.80%
46 NIPPON TELEG & TEL CORPORATION SPONSORED ADR 1,996,184 51,122,000 0.78%
47 AMERICA MOVIL SAB DE CV ADR SPONSORED 2,244,989 49,794,000 0.76%
48 BUCKLE INC 927,188 48,696,000 0.74%
49 CARDTRONICS INC COM 1,252,105 48,306,000 0.73%
50 WELLCARE HEALTH PLANS INC COM 586,876 48,159,000 0.73%
Page 1 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001172661-15-000304, filed 2015.02.09).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.