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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 (2015Q4)
Portfolio Summary: 267 holdings with a total value of $1,219,562,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 PUBLIC SVC ENTERPRISE GRP IN 129,620 5,015,000 0.41%
202 TIME WARNER INC 79,570 5,146,000 0.42%
203 KROGER CO 126,152 5,277,000 0.43%
204 VALERO ENERGY CORP NEW 75,980 5,373,000 0.44%
205 VANGUARD MALVERN FDS 114,630 5,542,000 0.45%
206 DR PEPPER SNAPPLE GROUP INC 59,680 5,562,000 0.46%
207 COSTCO WHSL CORP NEW 34,520 5,575,000 0.46%
208 PNC FINL SVCS GROUP INC 58,730 5,598,000 0.46%
209 GENERAL DYNAMICS CORP 43,850 6,023,000 0.49%
210 CARDINAL HEALTH INC 69,150 6,173,000 0.51%
211 STARBUCKS CORP 108,260 6,499,000 0.53%
212 CIGNA CORPORATION 45,516 6,660,000 0.55%
213 PAYCHEX INC 126,470 6,689,000 0.55%
214 DOW CHEM CO 130,150 6,700,000 0.55%
215 LYONDELLBASELL INDUSTRIES N 77,340 6,721,000 0.55%
216 UNITED TECHNOLOGIES CORP 71,570 6,876,000 0.56%
217 VANGUARD INTL EQUITY INDEX F 210,826 6,896,000 0.57%
218 ANTHEM INC 50,150 6,993,000 0.57%
219 VANGUARD INDEX FDS 66,220 7,045,000 0.58%
220 SOUTHWEST AIRLS CO 166,811 7,183,000 0.59%
221 AMERISOURCEBERGEN CORP 69,360 7,193,000 0.59%
222 AETNA INC NEW 66,630 7,204,000 0.59%
223 COMCAST CORP NEW 129,510 7,308,000 0.60%
224 ALTRIA GROUP INC 127,060 7,396,000 0.61%
225 PHILIP MORRIS INTL INC 86,740 7,625,000 0.63%
226 AMGEN INC 46,985 7,627,000 0.63%
227 LOWES COS INC 102,640 7,805,000 0.64%
228 SCHLUMBERGER LTD 113,580 7,922,000 0.65%
229 VISA INC 102,350 7,937,000 0.65%
230 BRISTOL MYERS SQUIBB CO 116,710 8,028,000 0.66%
231 VANGUARD CHARLOTTE FDS 167,500 8,857,000 0.73%
232 COCA COLA CO 214,210 9,202,000 0.75%
233 CVS HEALTH CORP 95,854 9,372,000 0.77%
234 SPDR SERIES TRUST 281,696 9,552,000 0.78%
235 BOEING CO 66,350 9,594,000 0.79%
236 UNITEDHEALTH GROUP INC 81,820 9,625,000 0.79%
237 BERKSHIRE HATHAWAY INC DEL 73,100 9,652,000 0.79%
238 CISCO SYS INC 357,580 9,710,000 0.80%
239 NIKE INC 164,450 10,278,000 0.84%
240 TRAVELERS COMPANIES INC 93,780 10,584,000 0.87%
241 GILEAD SCIENCES INC 114,280 11,564,000 0.95%
242 WELLS FARGO & CO NEW 215,270 11,702,000 0.96%
243 INTEL CORP 343,130 11,821,000 0.97%
244 FACEBOOK INC 115,040 12,040,000 0.99%
245 PFIZER INC 375,630 12,125,000 0.99%
246 CHEVRON CORP NEW 138,570 12,466,000 1.02%
247 CITIGROUPINC 241,162 12,480,000 1.02%
248 PEPSICO INC 125,660 12,556,000 1.03%
249 VANGUARD INDEX FDS 157,170 13,171,000 1.08%
250 HOME DEPOT INC 101,350 13,404,000 1.10%
Page 5 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001059187-16-000011, filed 2016.02.09).

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.