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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 (2015Q3)
Portfolio Summary: 690 holdings with a total value of $13,936,109,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SALESFORCE COM INC 4,547,444 315,729,000 2.27%
2 GOOGLE INC 509,172 309,791,000 2.22%
3 VISA INC 3,833,938 267,071,000 1.92%
4 STARBUCKS CORP 4,601,093 261,526,000 1.88%
5 AMERICAN TOWER CORP NEW 2,939,612 258,627,000 1.86%
6 GENERAL ELECTRIC CO 10,030,174 252,961,000 1.82%
7 FACEBOOK INC 2,762,057 248,309,000 1.78%
8 PRICELINE GRP INC 193,081 238,813,000 1.71%
9 COMCAST CORP NEW 4,041,763 229,896,000 1.65%
10 CERNER CORP 3,618,287 216,952,000 1.56%
11 JPMORGAN CHASE & CO 3,482,146 212,307,000 1.52%
12 MICROSOFT CORP 4,755,440 210,476,000 1.51%
13 CELGENE CORP 1,942,740 210,146,000 1.51%
14 CITIGROUP INC 4,087,577 202,784,000 1.46%
15 LENNAR 4,044,203 194,648,000 1.40%
16 ACE LTD 1,828,089 189,024,000 1.36%
17 CHIPOTLE MEXICAN GRILL INC 255,295 183,877,000 1.32%
18 EQUINIX 669,614 183,073,000 1.31%
19 PEPSICO INC 1,866,431 176,005,000 1.26%
20 SERVICENOW INC 2,502,779 173,818,000 1.25%
21 ALEXION PHARMACEUTIC 1,104,944 172,802,000 1.24%
22 STATE STR CORP 2,564,843 172,383,000 1.24%
23 CISCO SYS INC 6,553,346 172,025,000 1.23%
24 AMERIPRISE FINL INC 1,514,664 165,296,000 1.19%
25 PFIZER INC 5,251,851 164,960,000 1.18%
26 ILLUMINA INC 935,660 164,508,000 1.18%
27 ATHENA HEALTH INC. 1,217,212 162,315,000 1.16%
28 LINKEDIN CORP COM CL A 847,919 161,214,000 1.16%
29 TRAVELERS COMPANIES INC 1,591,237 158,376,000 1.14%
30 HOME DEPOT INC 1,318,228 152,242,000 1.09%
31 AMAZON COM INC 295,474 151,250,000 1.09%
32 CHEVRON CORP NEW 1,892,994 149,319,000 1.07%
33 ALLERGAN PLC 545,922 148,387,000 1.06%
34 SEALED AIR CORP NEW 3,087,052 144,721,000 1.04%
35 COSTCO WHSL CORP NEW 982,372 142,021,000 1.02%
36 MOBILEYE N V AMSTELVEEN 3,087,881 140,437,000 1.01%
37 MEAD JOHNSON NUTRITION CO 1,856,274 130,682,000 0.94%
38 SPLUNK 2,344,146 129,747,000 0.93%
39 ARM Holdings plc 2,989,971 129,316,000 0.93%
40 JOHNSON & JOHNSON 1,379,834 128,808,000 0.92%
41 GAP INC DEL 4,508,003 128,478,000 0.92%
42 MERCK & CO INC 2,573,307 127,095,000 0.91%
43 SYSCO CORP 3,236,274 126,118,000 0.90%
44 ANTHEM INC 897,821 125,694,000 0.90%
45 MONSTER BEVERAGE COR 924,544 124,943,000 0.90%
46 TEXTRON INC COM 3,310,710 124,616,000 0.89%
47 UNDER ARMOUR INC 1,272,998 123,202,000 0.88%
48 HARTFORD FINL SVCS GROUP INC 2,656,982 121,636,000 0.87%
49 WESTERN DIGITAL CORP 1,383,008 109,867,000 0.79%
50 INTEL CORP 3,563,556 107,405,000 0.77%
Page 1 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000850401-15-000020, filed 2015.11.13).

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.