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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
51 Hewlett Packard Co 144,150 4,665,000 0.49%
52 Anthem, Inc. 46,570 4,636,000 0.49%
53 MCKESSON CORP 25,070 4,427,000 0.47%
54 NIKE INC 59,590 4,401,000 0.46%
55 VANGUARD INDEX FDS 34,826 4,326,000 0.46%
56 NORTHROP GRUMMAN CORP 34,539 4,261,000 0.45%
57 PNC FINL SVCS GROUP INC 47,950 4,172,000 0.44%
58 LOWES COS INC 84,650 4,139,000 0.44%
59 ORACLE CORP 101,030 4,133,000 0.44%
60 AMERISOURCEBERGEN CORP 61,580 4,039,000 0.43%
61 FACEBOOK INC 66,600 4,012,000 0.42%
62 SPDR SERIES TRUST 96,586 3,991,000 0.42%
63 ALTRIA GROUP INC 106,060 3,970,000 0.42%
64 PRUDENTIAL FINL INC 46,640 3,948,000 0.42%
65 UNION PAC CORP 20,870 3,916,000 0.41%
66 EOG Resources Inc 19,730 3,870,000 0.41%
67 CELGENE CORP 27,330 3,815,000 0.40%
68 BOEING CO 30,296 3,802,000 0.40%
69 BIOGEN INC 12,369 3,783,000 0.40%
70 NORFOLK SOUTHERN CORP 38,500 3,741,000 0.39%
71 DTE ENERGY CO 50,350 3,741,000 0.39%
72 CARDINAL HEALTH INC 53,340 3,733,000 0.39%
73 CAPITAL ONE FINL CORP 48,300 3,727,000 0.39%
74 LINCOLN NATL CORP IND 73,460 3,722,000 0.39%
75 AMERICAN INTL GROUP INC 74,050 3,703,000 0.39%
76 SPDR SERIES TRUST 61,664 3,662,000 0.39%
77 COGNIZANT TECHNOLOGY SOLUTIO 72,200 3,653,000 0.39%
78 AETNA INC NEW 48,270 3,619,000 0.38%
79 PUBLIC SVC ENTERPRISE GRP IN 94,760 3,614,000 0.38%
80 Van Eck 153,370 3,613,000 0.38%
81 BAKER HUGHES INC 55,130 3,585,000 0.38%
82 UNITEDHEALTH GROUP INC 42,070 3,449,000 0.36%
83 EQUITY RESIDENTIAL 58,870 3,414,000 0.36%
84 3M CO 24,960 3,386,000 0.36%
85 SOUTHWEST AIRLS CO 141,371 3,338,000 0.35%
86 AMAZON COM INC 9,880 3,323,000 0.35%
87 EDISON INTL 57,460 3,253,000 0.34%
88 TYSON FOODS INC 73,780 3,247,000 0.34%
89 WESTERN DIGITAL CORP 35,110 3,224,000 0.34%
90 Medtronic Inc 52,100 3,206,000 0.34%
91 EMERSON ELEC CO 47,751 3,190,000 0.34%
92 VIACOM INC NEW 37,490 3,186,000 0.34%
93 ALLSTATE CORP 56,240 3,182,000 0.34%
94 S&P GLOBAL INC 41,490 3,166,000 0.33%
95 Chubb Corporation 35,350 3,157,000 0.33%
96 FEDEX CORP 23,750 3,148,000 0.33%
97 MARATHON OIL CORP 88,500 3,144,000 0.33%
98 HERSHEY CO 29,930 3,125,000 0.33%
99 GENERAL MTRS CO 90,750 3,124,000 0.33%
100 CA INC 99,960 3,097,000 0.33%
Page 2 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.