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Institutional Investment Manager
OSTERWEIS CAPITAL MANAGEMENT INC
OSTERWEIS CAPITAL MANAGEMENT INC (CIK: 0001007524) incorporated in California, located at One Maritime Plaza, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001085146-14-002256) filed in 2014.11.13
#
Name
Shares
Value ($)
%
Options
Notes
51 SANOFI 731,217 41,263 1.27%
52 UNILEVER N V 1,038,321 41,201 1.27%
53 ALLEGHANY CORP 93,747 39,200 1.20%
54 OWENS-ILLINOIS, INC. 1,499,567 39,064 1.20%
55 DIAGEO P L C 337,700 38,971 1.20%
56 QUESTAR CORP COM 1,669,780 37,219 1.14%
57 PHH Corp 1,631,600 36,483 1.12%
58 TRIUMPH GROUP INC NEW COM 560,800 36,480 1.12%
59 BOEING CO 278,007 35,413 1.09%
60 EBAY INC 613,115 34,721 1.07%
61 ATLAS PIPELINE PARTNERS LP 941,512 34,327 1.05%
62 SANOFI 585,065 33,015 1.01%
63 New Residential Investment Cor 5,628,644 32,815 1.01%
64 NEWCASTLE INVESTMENT CORP 2,494,765 31,634 0.97%
65 ISHARES NASDAQ BIOTECHNOLOGY ETF 53,174 31,288 0.96%
66 NRG Yield Inc 653,515 30,748 0.94%
67 GOOGLE INC 53,179 30,703 0.94%
68 PHH Corp 1,365,622 30,535 0.94%
69 EBAY INC 530,895 30,065 0.92%
70 TRIUMPH GROUP INC NEW COM 457,340 29,750 0.91%
71 New Residential Investment Cor 4,678,008 27,273 0.84%
72 NOVARTIS A G 278,944 26,257 0.81%
73 QUESTAR CORP COM 1,123,366 25,040 0.77%
74 HEALTHSOUTH CORP 652,262 24,068 0.74%
75 ISHARES NASDAQ BIOTECHNOLOGY ETF 39,062 22,984 0.71%
76 GOOGLE INC 39,062 22,553 0.69%
77 KINDER MORGAN INC DEL 560,155 21,476 0.66%
78 CONE Midstream Partners 761,130 21,388 0.66%
79 HEALTHSOUTH CORP 567,470 20,940 0.64%
80 MOTOROLA SOLUTIONS INC 313,909 19,864 0.61%
81 MOTOROLA SOLUTIONS INC 289,951 18,348 0.56%
82 CONE Midstream Partners 649,600 18,254 0.56%
83 STONEGATE MTG CORP 903,049 11,731 0.36%
84 STONEGATE MTG CORP 797,765 10,363 0.32%
85 KINDER MORGAN INC DEL 70,330 2,696 0.08%
86 PROCTER AND GAMBLE CO 20,660 1,730 0.05%
87 PROCTER AND GAMBLE CO 18,564 1,555 0.05%
88 LILLY ELI & CO 16,451 1,067 0.03%
89 Pope Resources Ltd 15,560 1,043 0.03%
90 APPLE INC 10,318 1,040 0.03%
91 EXXON MOBIL CORP 11,046 1,039 0.03%
92 EXXON MOBIL CORP 10,921 1,027 0.03%
93 FIRST REP BK SAN FRANCISCO C 19,125 944 0.03%
94 COCA COLA CO 19,472 831 0.03%
95 BERKSHIRE HATHAWAY INC DEL 4 828 0.03%
96 Kinder Morgan Inc. 7,550 704 0.02%
97 MERCK & CO INC 11,338 672 0.02%
98 UNION PAC CORP 6,000 651 0.02%
99 BERKSHIRE HATHAWAY INC DEL 4,019 555 0.02%
100 WELLS FARGO & CO NEW 10,555 547 0.02%
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