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Institutional Investment Manager
WEDGE CAPITAL MANAGEMENT L L P/NC
WEDGE CAPITAL MANAGEMENT L L P/NC (CIK: 0001015308) incorporated in Delaware, located at 301 South College Street Suite 3800, Charlotte, NC. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 567 holdings with a total value of $9,805,581,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ABBVIE INC 871,700 49,199,000 0.50%
52 AMPHENOL CORP NEW CL A 510,500 49,182,000 0.50%
53 NOVARTIS A G 541,200 48,995,000 0.50%
54 NVIDIA CORPORATION 2,634,200 48,838,000 0.50%
55 ST JUDE 704,640 48,796,000 0.50%
56 XILINX INC 1,029,025 48,683,000 0.50%
57 GENERAL CABLE CORP-DEL NEW 1,895,665 48,643,000 0.50%
58 EPR PPTYS COM SH BEN INT 868,429 48,519,000 0.49%
59 JOHNSON & JOHNSON 463,591 48,501,000 0.49%
60 QUALCOMM INC 610,425 48,346,000 0.49%
61 AETNA INC NEW 593,905 48,154,000 0.49%
62 KIMBERLY CLARK CORP 430,130 47,839,000 0.49%
63 REPUBLIC SVCS INC 1,257,255 47,738,000 0.49%
64 PFIZER INC 1,606,955 47,694,000 0.49%
65 STRYKER CORP 559,675 47,192,000 0.48%
66 Anthem, Inc. 438,035 47,137,000 0.48%
67 DR PEPPER SNAPPLE GROUP INC 800,805 46,911,000 0.48%
68 BROADCOM CORP CL A 1,256,225 46,631,000 0.48%
69 ENERSYS COM 676,287 46,522,000 0.47%
70 AMERICAN INTL GROUP INC 846,924 46,225,000 0.47%
71 RAYTHEON CO 499,989 46,124,000 0.47%
72 BOEING CO 361,595 46,006,000 0.47%
73 ENDO INTL 655,000 45,863,000 0.47%
74 EXPRESS SCRIPTS HLDG CO 644,075 44,654,000 0.46%
75 MOLSON COORS BREWING CO 597,947 44,344,000 0.45%
76 PHILIP MORRIS INTL INC 523,325 44,122,000 0.45%
77 HARLEY DAVIDSON INC 604,220 42,205,000 0.43%
78 HANESBRANDS INC 414,825 40,835,000 0.42%
79 TIMKEN CO COM 589,879 40,017,000 0.41%
80 AUTOLIV (US) 370,375 39,475,000 0.40%
81 TRW AUTOMOTIVE HLDGS CORP 430,593 38,547,000 0.39%
82 EDISON INTL 656,500 38,149,000 0.39%
83 FOOT LOCKER INC 751,775 38,130,000 0.39%
84 ADVANCE AUTO PARTS INC 280,675 37,869,000 0.39%
85 PITNEY BOWES INC COM 1,368,788 37,806,000 0.39%
86 CUMMINS INC 243,414 37,556,000 0.38%
87 EL PASO ELECTRIC CO NEW 928,752 37,345,000 0.38%
88 AGCO 658,700 37,032,000 0.38%
89 FLUOR CORP NEW 479,046 36,839,000 0.38%
90 3M CO 257,112 36,829,000 0.38%
91 VECTREN CORP 864,043 36,722,000 0.37%
92 UGI CORP NEW 721,570 36,439,000 0.37%
93 ROYAL CARIBBEAN GROUP 655,200 36,429,000 0.37%
94 STANDEX INTL CORP 487,339 36,297,000 0.37%
95 KBR INC 1,514,550 36,122,000 0.37%
96 UNITED STATIONERS INC 870,939 36,118,000 0.37%
97 COMCAST CORP NEW 671,465 36,044,000 0.37%
98 PARKER HANNIFIN CORP 285,953 35,953,000 0.37%
99 HOME DEPOT INC 441,950 35,780,000 0.36%
100 ENVIRI CORP COM 1,326,546 35,326,000 0.36%
Page 2 of 12

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001015308-14-000006, filed 2014.08.11).

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.