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Institutional Investment Manager
SMITH ASSET MANAGEMENT GROUP LP
SMITH ASSET MANAGEMENT GROUP LP (CIK: 0001091561) incorporated in Delaware, located at 100 Crescent Court, Dallas, TX. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 453 holdings with a total value of $3,345,973,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 1,553,417 169,346,000 5.06%
2 HOME DEPOT INC 861,025 114,911,000 3.43%
3 GILEAD SCIENCES INC 985,731 90,701,000 2.71%
4 KROGER CO 2,247,924 85,894,000 2.57%
5 CITRIX SYS INC 948,482 74,516,000 2.23%
6 CLOROX CO DEL 590,518 74,493,000 2.23%
7 CAMPBELL SOUP CO 1,166,895 74,444,000 2.22%
8 CENTENE CORP DEL 1,157,311 71,152,000 2.13%
9 C.H. ROBINSON WORLDW 925,636 68,642,000 2.05%
10 MICROSOFT CORP 1,115,474 61,578,000 1.84%
11 LOWES COS INC 808,972 61,280,000 1.83%
12 INTERCONTINENTAL EXCHANGE IN 250,088 58,781,000 1.76%
13 ABBVIE INC 1,026,178 58,615,000 1.75%
14 GENERAL DYNAMICS CORP 413,512 54,368,000 1.62%
15 HOLOGIC INC 1,567,300 54,132,000 1.62%
16 O REILLY AUTOMOTIVE INC NEW 192,734 52,744,000 1.58%
17 MASCO CORP 1,635,710 51,443,000 1.54%
18 VISTEON CORP COM NEW 615,540 48,991,000 1.46%
19 MCDONALDS CORP 389,143 48,907,000 1.46%
20 VANTIV INC 891,300 48,023,000 1.44%
21 MOTOROLA SOLUTIONS INC 619,910 46,927,000 1.40%
22 SPIRIT AEROSYSTEMS HLDGS INC COM CL A 1,028,800 46,666,000 1.39%
23 DR PEPPER SNAPPLE GROUP INC 520,770 46,567,000 1.39%
24 ELECTRONIC ARTS INC 704,110 46,549,000 1.39%
25 EDWARDS LIFESCIENCES CORP 527,070 46,493,000 1.39%
26 CONAGRA BRANDS 1,029,500 45,936,000 1.37%
27 HUNTINGTON INGALLS INDS INC 319,363 43,734,000 1.31%
28 JOHNSON & JOHNSON 399,966 43,312,000 1.29%
29 DARDEN RESTAURANTS INC 651,970 43,226,000 1.29%
30 MARKEL CORP 46,480 41,440,000 1.24%
31 FOOT LOCKER INC 639,880 41,272,000 1.23%
32 CORELOGIC INC 1,118,520 38,813,000 1.16%
33 CINTAS 404,315 36,313,000 1.09%
34 FACTSET RESH SYS INC 237,985 36,020,000 1.08%
35 WYNDHAM DESTINATION 470,838 36,001,000 1.08%
36 QUINTILES IMS HOLDINGS INC 541,737 35,459,000 1.06%
37 VERISIGN 398,326 35,268,000 1.05%
38 FACEBOOK INC 276,943 31,599,000 0.94%
39 TARGET CORP 381,197 31,365,000 0.94%
40 UNITED THERAPEUTICS 280,190 31,221,000 0.93%
41 STARBUCKS CORP 516,614 30,830,000 0.92%
42 VERIZON COMMUNICATIONS INC 569,530 30,800,000 0.92%
43 ALASKA AIR GROUP INC COM 362,592 29,625,000 0.89%
44 BARD C R INC 139,281 28,264,000 0.84%
45 TOTAL SYS SVCS INC 570,340 27,137,000 0.81%
46 CADENCE DESIGN 1,134,397 26,678,000 0.80%
47 ASPEN TECHNOLOGY INC 733,660 26,418,000 0.79%
48 NIKE INC 415,473 25,396,000 0.76%
49 GLOBAL PAYMENTS 379,370 24,773,000 0.74%
50 ALPHABET INC 32,544 24,244,000 0.72%
Page 1 of 10

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001104659-16-116950, filed 2016.05.03).

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.