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Institutional Investment Manager
Calvert Investment Management, Inc.
Calvert Investment Management, Inc. (CIK: 0000918006) incorporated in Delaware, located at 4550 Montgomery Avenue, Bethesda, MD. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0000918006-16-000029) filed in 2016.08.04
#
Name
Shares
Value ($)
%
Options
Notes
651 CHENIERE ENERGY PTNRS LP HLD 13,295 265 0.01%
652 RYDER SYS INC 4,317 264 0.01%
653 ASSURED GUARANTY LTD COM 10,377 263 0.01%
654 KEYSIGHT TECHNOLOGIES INC 8,997 262 0.01%
655 BANKUNITED INC 8,490 261 0.01%
656 FIRST HORIZON CORPORATION COM 18,779 259 0.01%
657 LEGG MASON INC 8,702 257 0.01%
658 CRACKER BARREL OLD CTRY STOR 1,476 253 0.01%
659 SPROUTS FMRS MKT INC 10,979 251 0.01%
660 AVIS BUDGET GROUP 7,749 250 0.01%
661 SEATTLE GENETICS INC 6,193 250 0.01%
662 WEBSTER FINL CORP CONN 7,372 250 0.01%
663 PATTERSON COS INC 5,198 249 0.01%
664 WOODWARD INC 4,302 248 0.01%
665 BIO TECHNE CORP 2,189 247 0.01%
666 AMSURG CORP 3,180 247 0.01%
667 CINEMARK HOLDINGS INC 6,750 246 0.01%
668 CARNIVAL PLC 5,497 246 0.01%
669 ABIOMED INC 2,242 245 0.01%
670 POPULAR INC COM NEW 8,339 244 0.01%
671 QUANTA SVCS INC 10,529 243 0.01%
672 TRANSOCEAN LTD 20,404 243 0.01%
673 DUNKIN BRANDS GROUP INC COM 5,557 242 0.01%
674 CNO FINL GROUP INC 13,832 242 0.01%
675 BANK OF THE OZARKS INC 6,420 241 0.01%
676 DOLBY LABORATORIES INC 5,026 240 0.01%
677 ALNYLAM PHARMACEUTICALS INC 4,313 239 0.01%
678 VALMONT INDS INC 1,768 239 0.01%
679 MANHATTAN ASSOCS INC 3,701 237 0.01%
680 HEALTHCARE SVCS GRP INC 5,713 236 0.01%
681 VEEVA SYS INC 6,925 236 0.01%
682 B & G FOODS INC NEW 4,895 236 0.01%
683 FORTINET INC 7,445 235 0.01%
684 GUIDEWIRE SOFTWARE INC 3,807 235 0.01%
685 MARVELL TECHNOLOGY GROUP LTD 24,531 234 0.01%
686 AUTONATION INC 4,971 234 0.01%
687 BANK HAWAII CORP 3,392 233 0.01%
688 ACADIA COMPANY COM 4,192 232 0.01%
689 Clarcor Inc Com 3,790 231 0.01%
690 ITT INC COM 7,148 229 0.01%
691 FEI COMPANY 2,122 227 0.01%
692 PTC INC 5,986 225 0.01%
693 HEICO CORP NEW 3,347 224 0.01%
694 IAC INTERACTIVECORP 3,986 224 0.01%
695 CHARLES RIV LABS INTL INC 2,703 223 0.01%
696 INTERCONTINENTAL HOTELS GROU 5,899 221 0.01%
697 LANDSTAR SYS INC COM 3,226 221 0.01%
698 WESTERN ALLIANCE BANCORP 6,776 221 0.01%
699 STATOIL ASA 12,767 221 0.01%
700 ALERE INC 5,284 220 0.01%
Page 14 of 16
Restatement filing (0000918006-16-000030) filed in 2016.08.18
#
Name
Shares
Value ($)
%
Options
Notes
1 AIXTRON SE 11,893 72 0.00%
2 FIAT CHRYSLER AUTOMOBILES N V SHS 14,126 86 0.00%
3 ISRAEL CHEMICALS LTD 24,424 95 0.00%
4 INTERNET INITIATIVE JAPAN IN 10,238 99 0.00%
5 ADVANTEST CORP SPONSORED ADR 12,135 133 0.01%
6 Pandora Media 10,644 133 0.01%
7 NORTHSTAR ASSET 14,372 147 0.01%
8 SPRINT CORP 33,840 153 0.01%
9 PENNEY J C INC 17,587 156 0.01%
10 WENDYS CO 16,313 157 0.01%
11 JANUS CAP GROUP INC 11,265 157 0.01%
12 MGIC INVT CORP WIS 26,919 160 0.01%
13 SQUARE INC 18,040 163 0.01%
14 BROOKDALE SENIOR LIVING INC COM 10,725 166 0.01%
15 RADIAN GROUP INC 16,548 172 0.01%
16 ADVANCED MICRO DEVICES INC 33,754 173 0.01%
17 AMERICAN EAGLE OUTFITTERS NE 10,849 173 0.01%
18 MELCO ENTERTAINMENT ADR 14,065 177 0.01%
19 CYPRESS SEMICONDUCTOR CORP 17,086 180 0.01%
20 NUANCE COMMUNICATIONS INC 11,730 183 0.01%
21 STMICROELECTRONICS N V 33,437 197 0.01%
22 SLM CORP 31,985 198 0.01%
23 PRIMERICA INC 3,500 200 0.01%
24 JABIL INC 10,894 201 0.01%
25 ON SEMICONDUCTOR CORP 22,904 202 0.01%
26 ENERSYS 3,409 203 0.01%
27 U S G CORP 7,565 204 0.01%
28 CLEAN HARBORS INC 3,908 204 0.01%
29 RIO TINTO PLC 6,558 205 0.01%
30 AERCAP HOLDINGS NV 6,104 205 0.01%
31 AIR LEASE CORP 7,694 206 0.01%
32 SKECHERS U S A INC 6,945 206 0.01%
33 ASSOCIATED BANC CORP 12,014 206 0.01%
34 FEDERATED HERMES INC CL B 7,156 206 0.01%
35 ARRIS INTL INC 9,851 206 0.01%
36 ECHOSTAR CORP CL A 5,229 208 0.01%
37 IMS HEALTH HLDS INC 8,220 208 0.01%
38 AMC NETWORKS INC CL A 3,458 209 0.01%
39 TENARIS S A 7,264 209 0.01%
40 HEALTHSOUTH CORP 5,412 210 0.01%
41 PEARSON PLC 16,308 212 0.01%
42 GENPACT LIMITED 7,960 214 0.01%
43 DYCOM INDS INC 2,399 215 0.01%
44 TERADYNE INC 10,905 215 0.01%
45 SNYDERS-LANCE INC 6,352 215 0.01%
46 ROLLINS INC 7,391 216 0.01%
47 ARM HOLDINGS PLC ADR 4,736 216 0.01%
48 COMMSCOPE 6,985 217 0.01%
49 CRANE CO 3,841 218 0.01%
50 CST BRANDS INC 5,049 218 0.01%
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