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Institutional Investment Manager
PACIFIC GLOBAL INVESTMENT MANAGEMENT CO
PACIFIC GLOBAL INVESTMENT MANAGEMENT CO (CIK: 0000908431) incorporated in California, located at 101 North Brand Blvd., Suite 1950, Glendale, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Original 13F HR (0001104659-15-038137) filed in 2015.05.14
#
Name
Shares
Value ($)
%
Options
Notes
201 COCA COLA CO 75,452 3,060 0.57%
202 ILLINOIS TOOL WKS INC 31,515 3,061 0.57%
203 MOBILE MINI INC 75,000 3,198 0.60%
204 PVH CORPORATION 30,135 3,211 0.60%
205 KIRBY CORP 43,000 3,227 0.60%
206 TEAM INC COM NEW 85,000 3,313 0.62%
207 NORTH AMERN ENERGY PARTNERS 1,154,900 3,361 0.63%
208 DXP ENTERPRISES INC NEW COM NEW 77,000 3,395 0.63%
209 GENESEE AND WYOMING INC INC CL A 36,000 3,472 0.65%
210 AMERICAN EXPRESS CO 45,039 3,518 0.66%
211 JPMORGAN CHASE & CO 60,191 3,646 0.68%
212 DEERE & CO 41,739 3,660 0.68%
213 CHICAGO BRIDGE & IRON CO N V 78,815 3,882 0.72%
214 SMUCKER J M CO 33,582 3,886 0.72%
215 CISCO SYS INC 141,545 3,896 0.73%
216 CONNS INC 130,000 3,936 0.73%
217 GENTHERM INC 78,000 3,940 0.73%
218 FURMANITE CORPORATION 500,150 3,946 0.73%
219 SYSCO CORP 104,964 3,960 0.74%
220 INTEL CORP 128,169 4,008 0.75%
221 NATURAL GAS SERVICES GROUP 216,700 4,165 0.78%
222 METLIFE INC 84,934 4,293 0.80%
223 KRAFT HEINZ CO COM 49,509 4,313 0.80%
224 REGIONAL MGMT CORP 307,450 4,538 0.85%
225 HIBBETT SPORTING GOODS 94,165 4,620 0.86%
226 NCI BUILDING SYS INC 269,950 4,665 0.87%
227 PEPSICO INC 49,933 4,775 0.89%
228 HOME DEPOT INC 46,790 5,316 0.99%
229 PREMIERE GLOBAL SVCS INC 566,300 5,414 1.01%
230 RUSH ENTERPRISES INC CL A 198,735 5,437 1.01%
231 DARLING INGREDIENTS INC 412,335 5,777 1.08%
232 BRAVO BRIO RESTAURANT GROUP 395,415 5,809 1.08%
233 DISNEY WALT CO 56,127 5,887 1.10%
234 BERKSHIRE HATHAWAY INC DEL 41,107 5,933 1.11%
235 GENERAL ELECTRIC CO 240,978 5,979 1.11%
236 MATRIX SVC CO 343,360 6,029 1.12%
237 PROCTER AND GAMBLE CO 80,545 6,600 1.23%
238 WAL-MART STORES INC 81,282 6,685 1.25%
239 GENESEE AND WYOMING INC INC CL A 70,755 6,824 1.27%
240 NAVISTAR INTL CORP NEW 237,930 7,019 1.31%
241 TAL INTL GROUP INC 180,984 7,371 1.37%
242 SONIC AUTOMOTIVE INC CL A 298,894 7,442 1.39%
243 MICROSOFT CORP 184,941 7,519 1.40%
244 HORNBECK OFFSHORE SVCS IN 400,037 7,525 1.40%
245 DXP ENTERPRISES INC NEW COM NEW 174,010 7,672 1.43%
246 APPLE INC 65,815 8,189 1.53%
247 SAIA INC COM 191,531 8,485 1.58%
248 JOHNSON & JOHNSON 85,355 8,587 1.60%
249 MOBILE MINI INC 206,127 8,789 1.64%
250 EAST WEST BANCORP INC 221,580 8,965 1.67%
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