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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 (2016Q1)
Portfolio Summary: 571 holdings with a total value of $9,599,667,000.
#
Name
Shares
Value ($)
%
Options
Notes
451 JACOBS ENGR GROUP INC 558,152 24,308,000 0.25%
452 FLUOR CORP NEW 453,189 24,336,000 0.25%
453 CHUBB LIMITED 204,453 24,361,000 0.25%
454 CATERPILLAR INC 318,580 24,384,000 0.25%
455 GOLDMAN SACHS GROUP INC 156,300 24,536,000 0.26%
456 METLIFE INC 560,318 24,620,000 0.26%
457 AMERIPRISE FINL INC 262,823 24,708,000 0.26%
458 DISCOVER FINL SVCS 485,943 24,744,000 0.26%
459 PORTLAND GEN ELEC CO 628,631 24,825,000 0.26%
460 PITNEY BOWES INC 1,152,781 24,831,000 0.26%
461 FRANKLIN RESOURCES INC 639,309 24,965,000 0.26%
462 FULLER H B CO 588,693 24,990,000 0.26%
463 TRAVELERS COMPANIES INC 214,521 25,037,000 0.26%
464 HARTFORD FINL SVCS GROUP INC 544,361 25,084,000 0.26%
465 INTEGRATED DEVICE TECHNOLOGY 1,320,940 27,000,000 0.28%
466 MICROSEMI CORP 721,726 27,649,000 0.29%
467 ACTUANT CORP 1,128,847 27,894,000 0.29%
468 EL PASO ELECTRIC CO NEW 659,925 30,277,000 0.32%
469 PROSPERITY BANCSHARES INC 660,913 30,660,000 0.32%
470 ASPEN INSURANCE HOLDINGS LTD 647,815 30,901,000 0.32%
471 VECTREN CORP 615,154 31,102,000 0.32%
472 ASSURANT INC 405,368 31,274,000 0.33%
473 AIR METHODS CORP 898,975 32,561,000 0.34%
474 COLFAX CORP 1,176,150 33,626,000 0.35%
475 FIRST SOLAR INC 500,097 34,242,000 0.36%
476 RAYTHEON CO 279,632 34,291,000 0.36%
477 CSRA INC 1,276,007 34,325,000 0.36%
478 STANDEX INTL CORP 441,154 34,326,000 0.36%
479 L-3 Communications Hldgs 295,607 35,029,000 0.36%
480 LOCKHEED MARTIN CORP 161,023 35,667,000 0.37%
481 NORTHROP GRUMMAN CORP 181,328 35,885,000 0.37%
482 SEACOR HOLDINGS INC 661,002 35,992,000 0.37%
483 MICROSOFT CORP 653,754 36,107,000 0.38%
484 FMC TECHNOLOGIES INC 1,326,825 36,302,000 0.38%
485 TEXAS INSTRS INC 633,770 36,391,000 0.38%
486 FISERV INC 355,611 36,479,000 0.38%
487 INTEL CORP 1,131,055 36,590,000 0.38%
488 MOTOROLA SOLUTIONS INC 483,785 36,623,000 0.38%
489 Linear Technology Corp 823,555 36,698,000 0.38%
490 CISCO SYS INC 1,292,284 36,791,000 0.38%
491 ROCKWELL COLLINS INC 400,516 36,932,000 0.38%
492 NVIDIA CORPORATION 1,045,352 37,246,000 0.39%
493 AMERICAN INTL GROUP INC 692,276 37,418,000 0.39%
494 COGNIZANT TECHNOLOGY SOLUTIO 597,609 37,470,000 0.39%
495 BANK AMER CORP 2,793,563 37,769,000 0.39%
496 GLOBAL PMTS INC 589,250 38,478,000 0.40%
497 ACCENTURE PLC IRELAND 336,053 38,781,000 0.40%
498 EXPRESS SCRIPTS HLDG CO 567,944 39,012,000 0.41%
499 ENERSYS 707,283 39,410,000 0.41%
500 DR PEPPER SNAPPLE GROUP INC 445,177 39,808,000 0.41%
Page 10 of 12

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001015308-16-000012, filed 2016.05.02).

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.