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Institutional Investment Manager
ATLANTA CAPITAL MANAGEMENT CO L L C
ATLANTA CAPITAL MANAGEMENT CO L L C (CIK: 0001027817) incorporated in Delaware, located at 1075 Peachtree Street, Atlanta, GA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 167 holdings with a total value of $13,656,295,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 RPM INTL INC 2,268,426 99,947,000 0.73%
52 THERMO FISHER SCIENTIFIC INC 702,550 99,656,000 0.73%
53 DANAHER CORP DEL 1,071,462 99,518,000 0.73%
54 ECOLAB INC 860,773 98,455,000 0.72%
55 BIOGEN INC 313,466 96,030,000 0.70%
56 PRICELINE GRP INC 69,255 88,297,000 0.65%
57 ARTISAN PARTNERS ASSET MGMT 2,440,396 88,001,000 0.64%
58 PERRIGO CO PLC 603,656 87,349,000 0.64%
59 COCA COLA CO 2,022,967 86,907,000 0.64%
60 JONES LANG LASALLE 534,419 85,432,000 0.63%
61 AMERICAN EXPRESS CO 1,205,292 83,828,000 0.61%
62 COMCAST CORP NEW 1,472,104 83,071,000 0.61%
63 AMPHENOL CORP NEW 1,580,124 82,530,000 0.60%
64 TEXAS INSTRS INC 1,407,936 77,169,000 0.57%
65 DISNEY WALT CO 700,883 73,648,000 0.54%
66 ROSS STORES INC 1,366,820 73,548,000 0.54%
67 3M CO 470,073 70,812,000 0.52%
68 WELLS FARGO & CO NEW 1,288,583 70,047,000 0.51%
69 GILEAD SCIENCES INC 659,868 66,772,000 0.49%
70 DRIL-QUIP INC 1,099,309 65,112,000 0.48%
71 HERSHEY CO 697,372 62,255,000 0.46%
72 CHECK POINT SOFTWARE TECH LT 763,893 62,166,000 0.46%
73 CIGNA CORPORATION 392,679 57,461,000 0.42%
74 CASEY'S GENERAL STORES INC COM 475,682 57,296,000 0.42%
75 FACEBOOK INC 534,118 55,900,000 0.41%
76 STARBUCKS CORP 911,492 54,717,000 0.40%
77 EXPRESS SCRIPTS HLDG CO 622,998 54,457,000 0.40%
78 WESTAMERICA BANCORPORATION COM 1,164,184 54,426,000 0.40%
79 PEPSICO INC 543,461 54,302,000 0.40%
80 WHOLE FOODS MKT INC 1,557,666 52,182,000 0.38%
81 E M C CORP MASS COM 2,025,964 52,026,000 0.38%
82 LAUDER ESTEE COS INC 562,594 49,542,000 0.36%
83 OCEANEERING INTL INC 1,293,665 48,538,000 0.36%
84 CAMERON INTERNATIONAL COMPANY 730,862 46,191,000 0.34%
85 ACCENTURE PLC IRELAND 431,545 45,097,000 0.33%
86 EXPONENT INC 897,758 44,843,000 0.33%
87 NOVARTIS A G 491,099 42,254,000 0.31%
88 PRAXAIR INC 381,557 39,072,000 0.29%
89 KNIGHT TRANSN INC 1,581,718 38,325,000 0.28%
90 DOLLAR GEN CORP NEW 532,248 38,252,000 0.28%
91 CERNER CORP 633,422 38,113,000 0.28%
92 COGNIZANT TECHNOLOGY SOLUTIO 623,492 37,422,000 0.27%
93 WEST PHARMACEUTICAL SVSC INC 620,085 37,342,000 0.27%
94 NIKE INC 591,758 36,985,000 0.27%
95 CHOICE HOTELS INTL NEW 728,071 36,702,000 0.27%
96 AON PLC 394,939 36,417,000 0.27%
97 VCA INCORPORATED 653,262 35,929,000 0.26%
98 RLI CORP 572,258 35,337,000 0.26%
99 MONRO MUFFLER BRAKE INC 529,355 35,054,000 0.26%
100 MASTERCARD INCORPORATED 348,828 33,962,000 0.25%
Page 2 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001062993-16-007733, filed 2016.02.12).

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.