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Institutional Investment Manager
STEVENS CAPITAL MANAGEMENT LP
STEVENS CAPITAL MANAGEMENT LP (CIK: 0001134813), located at 201 King Of Prussia Road, Radnor, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 958 holdings with a total value of $2,809,585,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 UNITEDHEALTH GROUP INC 365,044 43,181,000 1.54%
2 PROCTER AND GAMBLE CO 508,873 41,697,000 1.48%
3 ALTRIA GROUP INC 830,051 41,519,000 1.48%
4 CELGENE CORP 358,257 41,300,000 1.47%
5 MICRON TECHNOLOGY INC 1,290,193 35,003,000 1.25%
6 GENERAL DYNAMICS CORP 252,918 34,329,000 1.22%
7 ISHARES TR 240,047 31,372,000 1.12%
8 CHIPOTLE MEXICAN GRILL INC 43,041 28,000,000 1.00%
9 OCCIDENTAL PETE CORP DEL 377,181 27,534,000 0.98%
10 PRICELINE GRP INC 22,274 25,930,000 0.92%
11 DISCOVER FINANCIAL 459,737 25,906,000 0.92%
12 METLIFE INC 510,411 25,801,000 0.92%
13 UNION PAC CORP 237,149 25,686,000 0.91%
14 BANK AMER CORP 1,656,691 25,496,000 0.91%
15 DOMINION ENERGY INC 350,182 24,817,000 0.88%
16 VISA INC 365,860 23,931,000 0.85%
17 BECTON DICKINSON & CO 166,267 23,874,000 0.85%
18 WHOLE FOODS 457,071 23,804,000 0.85%
19 PPG INDS INC 102,579 23,136,000 0.82%
20 MACYS INC 355,223 23,058,000 0.82%
21 AMERICAN ELEC P 401,206 22,568,000 0.80%
22 MONSANTO CO NEW 195,350 21,985,000 0.78%
23 EQUITY RESIDENT 280,234 21,819,000 0.78%
24 CORNING INC 957,754 21,722,000 0.77%
25 AMERICAN TOWER CORP NEW 221,569 20,861,000 0.74%
26 CVS HEALTH CORP 195,391 20,166,000 0.72%
27 MARRIOTT INTL 246,735 19,818,000 0.71%
28 MASTERCARD INCORPORATED 225,749 19,502,000 0.69%
29 AUTOMATIC DATA PROCESSING IN 219,103 18,764,000 0.67%
30 UNITED TECHNOLOGIES CORP 159,843 18,734,000 0.67%
31 SOUTHERN CO 421,532 18,665,000 0.66%
32 FEDEX CORP 111,395 18,430,000 0.66%
33 GOLDMAN SACHS GROUP INC 97,246 18,279,000 0.65%
34 LUMEN TECHNOLOGIES INC 520,118 17,970,000 0.64%
35 ACE LTD 160,959 17,945,000 0.64%
36 PRAXAIR INC 140,729 16,992,000 0.60%
37 AMERICAN INTL GROUP INC 309,113 16,936,000 0.60%
38 ISHARES TR 212,300 16,840,000 0.60%
39 ALLERGAN PLC 56,507 16,818,000 0.60%
40 BROADCOM CORP CL A 385,211 16,678,000 0.59%
41 GENERAL GROWTH PPTYS INC NEW 540,295 15,966,000 0.57%
42 AMERIPRISE FINL INC 121,931 15,953,000 0.57%
43 MICROSOFT CORP 388,076 15,777,000 0.56%
44 APPLIED MATLS INC 692,803 15,630,000 0.56%
45 L-3 COMMUNICATIONS HLDGS INC 123,989 15,597,000 0.56%
46 PACCAR INC 242,428 15,307,000 0.54%
47 ALEXION PHARMACEUTIC 88,222 15,289,000 0.54%
48 CARNIVAL CORP 308,432 14,755,000 0.53%
49 PEPSICO INC 153,049 14,635,000 0.52%
50 NIKE INC 143,686 14,416,000 0.51%
Page 1 of 20

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001134813-15-000004, filed 2015.05.07).

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.