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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 (2015Q4)
Portfolio Summary: 676 holdings with a total value of $13,926,698,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 VERIZON COMMUNICATIONS INC 571,640 26,421,000 0.19%
102 AVALONBAY COMM 142,461 26,231,000 0.19%
103 FEDEX CORP 174,754 26,036,000 0.19%
104 METLIFE INC 528,040 25,457,000 0.18%
105 DU PONT E I DE NEMOURS & CO 381,404 25,401,000 0.18%
106 EXXON MOBIL CORP 320,472 24,981,000 0.18%
107 PLUM CREEK TIMBER 521,427 24,883,000 0.18%
108 SEAGATE TECHNOLOGY PLC 670,040 24,564,000 0.18%
109 ALLSTATE CORP 385,283 23,922,000 0.17%
110 VORNADO REALTY 238,714 23,862,000 0.17%
111 WP GLIMCHER IN COM 2,179,233 23,122,000 0.17%
112 BOSTON PROPERTIES INC 176,216 22,474,000 0.16%
113 HOSPITALITY PPTYS TR 821,551 21,484,000 0.15%
114 CONAGRA BRANDS INC 501,896 21,159,000 0.15%
115 COACH INC 632,822 20,712,000 0.15%
116 KB HOME 1,665,081 20,530,000 0.15%
117 KIMCO RLTY CORP 764,604 20,231,000 0.15%
118 SCHLUMBERGER LTD 288,918 20,152,000 0.14%
119 M & T BK CORP 162,778 19,725,000 0.14%
120 American Capital Agency 1,118,462 19,394,000 0.14%
121 PROCTER AND GAMBLE CO 238,770 18,961,000 0.14%
122 ALPHABET INC 23,233 18,075,000 0.13%
123 NEW YORK CMNTY BANCORP INC 1,102,945 18,000,000 0.13%
124 INTERNATIONAL BUSINESS MACHS 126,419 17,398,000 0.12%
125 BERKSHIRE HATHAWAY INC DEL 129,925 17,155,000 0.12%
126 CAMPBELL SOUP CO 324,145 17,033,000 0.12%
127 AMGEN INC 98,421 15,977,000 0.11%
128 REGAL ENTMT GROUP 844,657 15,939,000 0.11%
129 TIME INC NEW 947,978 14,855,000 0.11%
130 MICROCHIP TECHNOLOGY 313,129 14,573,000 0.10%
131 US BANCORP DEL 337,013 14,380,000 0.10%
132 WAL-MART STORES INC 216,290 13,259,000 0.10%
133 BANK AMER CORP 722,355 12,157,000 0.09%
134 DISNEY WALT CO 115,438 12,130,000 0.09%
135 CHIMERA INVT CORP 811,861 11,074,000 0.08%
136 BAXTER INTL INC 283,520 10,816,000 0.08%
137 ABBVIE INC 179,456 10,631,000 0.08%
138 AVERY DENNISON CORP 167,588 10,501,000 0.08%
139 MCDONALDS CORP 87,667 10,357,000 0.07%
140 BRISTOL MYERS SQUIBB CO 149,336 10,273,000 0.07%
141 CORNERSTONE ONDEMAND INC 289,307 9,990,000 0.07%
142 ALTRIA GROUP INC 168,146 9,787,000 0.07%
143 ORACLE CORP 259,995 9,498,000 0.07%
144 BLOCK H & R INC 278,609 9,280,000 0.07%
145 LIBERTY PROP 295,097 9,163,000 0.07%
146 FIREEYE INC 430,560 8,930,000 0.06%
147 DEMANDWARE INC 160,100 8,640,000 0.06%
148 QUALCOMM INC 166,764 8,335,000 0.06%
149 OCCIDENTAL PETE CORP DEL 122,214 8,264,000 0.06%
150 UNITEDHEALTH GROUP INC 66,689 7,845,000 0.06%
Page 3 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000850401-16-000026, filed 2016.02.16).

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.