Dark
Light
System
Institutional Investment Manager
TCW GROUP INC
TCW GROUP INC (CIK: 0000850401) incorporated in Nevada, registered under Real Estate Investment Trusts, located at 515 South Flower Street, Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0000850401-15-000002) filed in 2015.02.13
#
Name
Shares
Value ($)
%
Options
Notes
401 AON PLC 79,850 7,572 0.03%
402 PUBLIC STORAGE 40,716 7,526 0.03%
403 ARM HOLDINGS PLC ADR 161,937 7,498 0.03%
404 Equinix Inc New 33,006 7,483 0.03%
405 BECTON DICKINSON & CO 53,700 7,473 0.03%
406 DSW INC CL A 200,240 7,469 0.03%
407 QUALCOMM INC 100,400 7,463 0.03%
408 CBS CORP NEW 133,500 7,388 0.03%
409 ATHENA HEALTH INC. 50,676 7,383 0.03%
410 DORMAN PRODUCTS INC 152,848 7,378 0.03%
411 INTUIT 79,950 7,371 0.03%
412 CROWN CASTLE INTL CORP NEW 93,400 7,351 0.03%
413 ILLUMINA INC 39,718 7,331 0.03%
414 EQUITY RESIDENTIAL 102,008 7,328 0.03%
415 LIFEWAY FOODS INC 395,263 7,324 0.03%
416 FACEBOOK INC 93,500 7,295 0.03%
417 SERVICENOW INC 107,179 7,272 0.03%
418 V F CORP 96,700 7,243 0.03%
419 MEAD JOHNSON NUTRITION CO 71,900 7,229 0.03%
420 SEMPRA ENERGY 64,700 7,205 0.03%
421 TE CONNECTIVITY LTD 113,800 7,198 0.03%
422 KEYCORP NEW 517,325 7,191 0.03%
423 Intuit Inc 31,285 7,186 0.03%
424 ENDOLOGIX INC 468,822 7,168 0.03%
425 WASTE MGMT INC DEL 139,659 7,167 0.03%
426 AVAGO TECHNOLOGIES LTD SHS 70,750 7,117 0.03%
427 ENDOLOGIX INC 464,035 7,095 0.03%
428 PG&E CORP 133,000 7,081 0.03%
429 MARATHON PETE CORP 78,400 7,076 0.03%
430 Monster Beverage Corpo 64,985 7,041 0.03%
431 WISDOMTREE INC COM 448,810 7,035 0.03%
432 ENVESTNET INC 142,934 7,024 0.03%
433 POPULAR INC COM NEW 205,980 7,014 0.03%
434 DYNEGY INCORPORATED NEW D 230,758 7,004 0.03%
435 WELLTOWER INC. 92,293 6,984 0.03%
436 INVESCO LTD 175,524 6,937 0.03%
437 INTERCONTINENTAL EXCHANGE IN 31,570 6,923 0.03%
438 MWI VETERINARY SUP 40,481 6,878 0.03%
439 CUMMINS INC 47,600 6,862 0.03%
440 Chubb Corporation 66,050 6,834 0.03%
441 FEI COMPANY 75,530 6,824 0.03%
442 SPECTRA ENERGY CORP 187,850 6,819 0.03%
443 FREEPORT-MCMORAN INC 290,850 6,794 0.03%
444 COGNEX CORP 164,269 6,789 0.03%
445 APACHE CORP 107,950 6,765 0.03%
446 PPL CORP 186,150 6,763 0.03%
447 McGraw Hill Group Inc 76,000 6,762 0.03%
448 PACCAR INC 99,050 6,736 0.03%
449 POLARIS INDS INC 44,360 6,709 0.03%
450 BIOMARIN PHARMACEUTICAL INC 73,394 6,635 0.03%
Page 9 of 28