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Institutional Investment Manager
LOGAN CAPITAL MANAGEMENT INC
LOGAN CAPITAL MANAGEMENT INC (CIK: 0001121330) incorporated in Pennsylvania, located at 3817 West Chester Pike, Newtown Square, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 299 holdings with a total value of $1,363,315,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 HERTZ GLOBAL HOLDINGS INC COM 159,895 2,897,000 0.21%
202 DU PONT E I DE NEMOURS & CO 47,239 3,021,000 0.22%
203 GLAXOSMITHKLINE PLC 74,803 3,116,000 0.23%
204 S&P GLOBAL INC 31,393 3,153,000 0.23%
205 MCKESSON CORP 14,278 3,210,000 0.24%
206 DONEGAL GROUP INC 223,703 3,407,000 0.25%
207 CONOCOPHILLIPS 55,979 3,437,000 0.25%
208 ZIMMER BIOMET HLDGS INC 31,500 3,440,000 0.25%
209 FMC TECHNOLOGIES INC 83,034 3,445,000 0.25%
210 COMMUNITY BK SYS INC COM 95,000 3,588,000 0.26%
211 PNC FINL SVCS GROUP INC 37,630 3,600,000 0.26%
212 SCHLUMBERGER LTD 42,400 3,655,000 0.27%
213 KIMBERLY CLARK CORP 35,175 3,727,000 0.27%
214 ECOLAB INC 34,271 3,875,000 0.28%
215 DirectTV Com 41,872 3,885,000 0.28%
216 3-D SYS CORP DEL 200,905 3,922,000 0.29%
217 ULTA BEAUTY INC 25,606 3,955,000 0.29%
218 DISNEY WALT CO 36,560 4,173,000 0.31%
219 INTEL CORP 142,443 4,333,000 0.32%
220 SEI INVESTMENTS CO 89,491 4,388,000 0.32%
221 TRIMBLE INC 191,580 4,495,000 0.33%
222 BIOGEN INC 11,875 4,797,000 0.35%
223 ORACLE CORP 119,314 4,809,000 0.35%
224 CSX CORP 147,494 4,816,000 0.35%
225 HALLIBURTON CO 112,380 4,840,000 0.36%
226 ALLERGAN PLC 16,279 4,940,000 0.36%
227 EXPRESS SCRIPTS HLDG CO 55,618 4,947,000 0.36%
228 HERSHEY CO 56,000 4,974,000 0.36%
229 VERIZON COMMUNICATIONS INC 108,003 5,034,000 0.37%
230 WHITEWAVE FOODS CO 105,308 5,147,000 0.38%
231 JOHNSON & JOHNSON 54,490 5,311,000 0.39%
232 WABTEC CORP 61,721 5,816,000 0.43%
233 TRACTOR SUPPLY CO 65,219 5,866,000 0.43%
234 AGILENT TECHNOLOGIES INC 159,035 6,136,000 0.45%
235 HANESBRANDS INC 185,955 6,196,000 0.45%
236 GILEAD SCIENCES INC 55,332 6,478,000 0.48%
237 BORGWARNER INC 118,820 6,754,000 0.50%
238 PEPSICO INC 74,297 6,935,000 0.51%
239 STERICYCLE INC 51,846 6,943,000 0.51%
240 NCR CORP NEW 250,497 7,539,000 0.55%
241 CUMMINS INC 59,299 7,780,000 0.57%
242 FLOWSERVE CORP 152,218 8,016,000 0.59%
243 ELECTRONIC ARTS INC 122,604 8,153,000 0.60%
244 ROBERT HALF INTL INC 148,775 8,257,000 0.61%
245 GOOGLE INC 15,906 8,280,000 0.61%
246 UNITED CONTL HLDGS INC 159,103 8,434,000 0.62%
247 TRIPADVISOR INC 98,074 8,546,000 0.63%
248 ISHARES NASDAQ BIOTECHNOLOGY ETF 16,033 8,658,000 0.64%
249 SUSQUEHANNA BANCSHARES INC 613,624 8,664,000 0.64%
250 EXXON MOBIL CORP 109,937 9,147,000 0.67%
Page 5 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001144204-15-049583, filed 2015.08.14).

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.