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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 (2014Q3)
Portfolio Summary: 283 holdings with a total value of $986,999,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 PROTECTIVE LIFE CO 18,160 1,260,000 0.13%
102 JOHNSON CTLS INTL PLC 28,850 1,269,000 0.13%
103 CONSOL ENERGY INC 34,190 1,294,000 0.13%
104 AVAGO TECHNOLOGIES LTD SHS 14,940 1,300,000 0.13%
105 EXELON CORP 38,870 1,325,000 0.13%
106 CF INDS HLDGS INC 4,750 1,326,000 0.13%
107 WEINGARTEN RLTY INVS 42,730 1,346,000 0.14%
108 GOODYEAR TIRE & RUBR CO 60,490 1,366,000 0.14%
109 ROCKWELL AUTOMATION INC 12,590 1,383,000 0.14%
110 Starwood Htls & Rsrts Wrldwde (new) 17,070 1,420,000 0.14%
111 DELTA AIRLINES INC DEL 39,580 1,431,000 0.14%
112 MURPHY OIL 25,450 1,448,000 0.15%
113 WEC ENERGY CORP. 33,950 1,460,000 0.15%
114 TRANSOCEAN LTD 45,950 1,469,000 0.15%
115 ASSURANT INC 22,900 1,472,000 0.15%
116 SYMANTEC CORP 62,660 1,473,000 0.15%
117 REPUBLIC SVCS INC 37,980 1,482,000 0.15%
118 EATON CORP PLC 24,330 1,542,000 0.16%
119 TELEFLEX INC 15,050 1,581,000 0.16%
120 SANDISK CORP 16,270 1,594,000 0.16%
121 AVALONBAY COMM 11,420 1,610,000 0.16%
122 C H ROBINSON WORLDWIDE INC 24,400 1,618,000 0.16%
123 QUANTA SVCS INC 45,730 1,660,000 0.17%
124 NEWFIELD EXPL CO 45,610 1,691,000 0.17%
125 MACYS INC 30,240 1,759,000 0.18%
126 ENTERGY CORP NEW 22,800 1,763,000 0.18%
127 REYNOLDS AMERICAN INC 30,110 1,776,000 0.18%
128 YUM BRANDS INC 24,710 1,779,000 0.18%
129 GAMESTOP CORP NEW 43,820 1,805,000 0.18%
130 PPG INDS INC 9,200 1,810,000 0.18%
131 KEYCORP 137,280 1,830,000 0.19%
132 MICHAEL KORS HLDGS LTD 25,850 1,845,000 0.19%
133 MONDELEZ INTL INC 54,271 1,860,000 0.19%
134 HARMAN INTL INDS INC 19,120 1,875,000 0.19%
135 INTERNATIONAL FLAVORS&FRAGRA 19,960 1,914,000 0.19%
136 ADOBE INC 28,450 1,968,000 0.20%
137 AMERICAN EXPRESS CO 22,698 1,987,000 0.20%
138 Allergan plc 11,440 2,038,000 0.21%
139 DOVER CORP 25,450 2,044,000 0.21%
140 COGNIZANT TECHNOLOGY SOLUTIO 46,450 2,080,000 0.21%
141 APARTMENT INVT & MGMT CO 66,500 2,116,000 0.21%
142 GENERAL DYNAMICS CORP 16,720 2,125,000 0.22%
143 CELGENE CORP 23,070 2,187,000 0.22%
144 XL Group plc 66,140 2,194,000 0.22%
145 Everest Re Group Ltd 13,570 2,198,000 0.22%
146 COMPUTER SCIENCES CORP 36,050 2,204,000 0.22%
147 TEXAS INSTRS INC 46,590 2,222,000 0.23%
148 ALEXION PHARMACEUTIC 13,480 2,235,000 0.23%
149 INVESCO LTD 57,040 2,252,000 0.23%
150 AMERICAN ELEC PWR INC 43,990 2,297,000 0.23%
Page 3 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001059187-14-000009, filed 2014.11.10).

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.