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Institutional Investment Manager
CHURCHILL MANAGEMENT Corp
CHURCHILL MANAGEMENT Corp (CIK: 0001094749) incorporated in California, located at 5900 Wilshire Blvd, Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 109 holdings with a total value of $1,527,535,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 STARBUCKS CORP 90,967 5,196,000 0.34%
52 NASDAQ OMX GROUP 80,259 5,190,000 0.34%
53 TYSON FOODS INC 76,221 5,091,000 0.33%
54 AMERICAN CAP LTD 303,980 4,812,000 0.32%
55 LOEWS CORP 113,666 4,671,000 0.31%
56 RAYTHEON CO 33,604 4,568,000 0.30%
57 AGILENT TECHNOLOGIES INC 102,717 4,557,000 0.30%
58 THERMO FISHER SCIENTIFIC INC 30,496 4,506,000 0.29%
59 INTERPUBLIC GROUP COS INC 191,901 4,433,000 0.29%
60 DTE ENERGY CO 44,198 4,381,000 0.29%
61 UNITEDHEALTH GROUP INC 31,022 4,380,000 0.29%
62 AMN HEALTHCARE SERVICES INC 108,206 4,325,000 0.28%
63 MEREDITH CORP COM 82,958 4,306,000 0.28%
64 TOTAL SYS SVCS INC 79,963 4,247,000 0.28%
65 BOSTON SCIENTIFIC CORP 181,326 4,238,000 0.28%
66 JAZZ PHARMACEUTICALS PLC 28,491 4,026,000 0.26%
67 INTUITIVE SURGICAL INC 5,952 3,937,000 0.26%
68 CONAGRA BRANDS INC 79,421 3,797,000 0.25%
69 AVERY DENNISON CORP 49,402 3,693,000 0.24%
70 CARDINAL HEALTH INC 46,715 3,644,000 0.24%
71 OWENS CORNING NEW 67,031 3,453,000 0.23%
72 ORBITAL ATK INC 39,433 3,357,000 0.22%
73 AVISTA CORP 70,939 3,178,000 0.21%
74 CBS CORP NEW 57,094 3,108,000 0.20%
75 CIGNA CORPORATION 22,922 2,934,000 0.19%
76 VISA INC 39,345 2,918,000 0.19%
77 RYDER SYS INC 47,540 2,907,000 0.19%
78 INTERCONTINENTAL EXCHANGE IN 11,226 2,873,000 0.19%
79 CMS ENERGY CORP 62,237 2,854,000 0.19%
80 XCEL ENERGY INC 62,191 2,785,000 0.18%
81 SENIOR HOUSING PROPERTIES TRUST 132,224 2,754,000 0.18%
82 VERISIGN INC 31,012 2,681,000 0.18%
83 APARTMENT INVT & MGMT CO 60,203 2,659,000 0.17%
84 EQUITY RESIDENTIAL 31,994 2,204,000 0.14%
85 STANLEY BLACK &DECKER INC 19,327 2,150,000 0.14%
86 CHEVRON CORP NEW 20,206 2,118,000 0.14%
87 O REILLY AUTOMOTIVE INC NEW 7,481 2,028,000 0.13%
88 MARSH & MCLENNAN COS INC 22,437 1,536,000 0.10%
89 CHARTER COMMUNICATIONS INC N 6,210 1,420,000 0.09%
90 SONOCO PRODS CO 25,691 1,276,000 0.08%
91 ROSS STORES INC 19,439 1,102,000 0.07%
92 MASCO CORP 21,421 663,000 0.04%
93 FIRST TR EXCHANGE TRADED FD 8,009 578,000 0.04%
94 FISERV INC 4,425 481,000 0.03%
95 MICROSOFT CORP 7,938 406,000 0.03%
96 PROCTER AND GAMBLE CO 4,647 393,000 0.03%
97 BALL CORP 4,722 341,000 0.02%
98 PUBLIC SVC ENTERPRISE GRP IN 6,423 299,000 0.02%
99 MONACO COACH CORP COM 85,000 0 0.00%
100 NUTRIPURE BEVERAGES INC COM NEW 100,000 0 0.00%
Page 2 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-16-071963, filed 2016.07.08).

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.