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Institutional Investment Manager
TWIN CAPITAL MANAGEMENT INC
TWIN CAPITAL MANAGEMENT INC (CIK: 0001059187) incorporated in Pennsylvania, located at 3244 Washington Rd, Mcmurray, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Portfolio Summary: 291 holdings with a total value of $948,473,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APACHE CORP 2,550 212,000 0.02%
2 PALL CORP 2,400 215,000 0.02%
3 MARATHON PETE CORP 2,500 218,000 0.02%
4 COVIDIEN PLC 3,300 243,000 0.03%
5 TIME WARNER INC NEW 1,800 247,000 0.03%
6 V F CORP 4,030 249,000 0.03%
7 GARMIN LTD 4,510 249,000 0.03%
8 ANALOG DEVICES INC 4,720 251,000 0.03%
9 PHILLIPS 66 3,265 252,000 0.03%
10 BARD C R INC 1,810 268,000 0.03%
11 CINCINNATI FINL CORP 5,690 277,000 0.03%
12 EATON CORP PLC 3,810 286,000 0.03%
13 PG&E CORP 7,000 302,000 0.03%
14 METLIFE INC 6,000 317,000 0.03%
15 KELLOGG CO 5,230 328,000 0.03%
16 LAUDER ESTEE COS INC 5,070 339,000 0.04%
17 MOLSON COORS BREWING CO 5,830 343,000 0.04%
18 SIGMA ALDRICH 4,030 376,000 0.04%
19 Intuit Inc 2,180 403,000 0.04%
20 KEURIG GREEN MTN INC 3,930 415,000 0.04%
21 AVX CORP NEW 33,240 438,000 0.05%
22 JOHNSON CTLS INTL PLC 9,950 471,000 0.05%
23 TRW AUTOMOTIVE HLDGS CORP 6,120 500,000 0.05%
24 PHARMACYCLICS INC 5,120 513,000 0.05%
25 NEXTERA ENERGY INC 5,400 516,000 0.05%
26 ANNALY CAP MGMT INC 49,190 540,000 0.06%
27 American Capital Agency 25,440 547,000 0.06%
28 TRUSTMARK CORP 23,010 583,000 0.06%
29 THERMO FISHER SCIENTIFIC INC 5,230 629,000 0.07%
30 INTL RECTIFIER COR 23,100 633,000 0.07%
31 CABLEVISION SYS CORP(NEW) NY GROUP CL ACOM 37,850 639,000 0.07%
32 ALLIANT TECHSYSTEM 4,640 660,000 0.07%
33 STRYKER CORP 8,250 672,000 0.07%
34 ACE LTD 6,950 688,000 0.07%
35 INGREDION INC 10,170 692,000 0.07%
36 THOMSON REUTERS CORP 20,470 700,000 0.07%
37 LAS VEGAS SANDS CORP 8,670 700,000 0.07%
38 VULCAN MATLS CO 10,530 700,000 0.07%
39 ILLINOIS TOOL WKS INC 8,730 710,000 0.07%
40 VOYA FINANCIAL INC 20,300 736,000 0.08%
41 Walgreens 11,350 749,000 0.08%
42 LENNOX INTL INC 8,260 751,000 0.08%
43 ALLEGION PUB LTD CO 14,579 761,000 0.08%
44 PETSMART 11,120 766,000 0.08%
45 BLACKROCK INC 2,440 767,000 0.08%
46 RESMED INC 17,200 769,000 0.08%
47 AGCO CORP 14,100 778,000 0.08%
48 NATIONAL FUEL GAS CO N J 11,200 784,000 0.08%
49 AMDOCS LIMITED F 17,140 796,000 0.08%
50 DONALDSON INC 18,770 796,000 0.08%
Page 1 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001059187-14-000005, filed 2014.05.13).

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.