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Institutional Investment Manager
REYNOLDS CAPITAL MANAGEMENT LLC
REYNOLDS CAPITAL MANAGEMENT LLC (CIK: 0001286313), located at 3565 South Las Vegas Blvd. #403, Las Vegas, NV. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0001140361-14-018916) filed in 2014.05.06
#
Name
Shares
Value ($)
%
Options
Notes
301 STRYKER CORP 4,700 383 0.25%
302 SUNPOWER CORP COM 11,200 361 0.23%
303 SYNOPSYS INC COM 8,000 307 0.20%
304 Salesforce.com Inc 8,800 502 0.32%
305 Sandisk Corp. 5,600 455 0.29%
306 Sanofi Aventis ADR 3,900 204 0.13%
307 Scotts Miracle-Gro Co/The 5,500 337 0.22%
308 Seagate Technology 6,000 337 0.22%
309 Siemens AG ADR 1,600 216 0.14%
310 Sigma-Aldrich 7,400 691 0.45%
311 Skyworks Solutions Inc 12,200 458 0.30%
312 Solarcity Corp 7,800 488 0.32%
313 Spectranetics Corp 21,200 643 0.42%
314 Starwood Htls & Rsrts Wrldwde (new) 8,000 637 0.41%
315 Stone Energy Corp 5,200 218 0.14%
316 SunEdison, Inc. 12,500 235 0.15%
317 Synovus Financial Corporation 20,200 68 0.04%
318 T Rowe Price Group Inc 4,700 387 0.25%
319 TD AMERITRADE HLDG CORP COM ST 21,300 723 0.47%
320 TE CONNECTIVITY LTD F 6,900 415 0.27%
321 TELEDYNE TECHNOLOGIES INC 2,600 253 0.16%
322 TEREX CORP NEW COM 9,400 416 0.27%
323 TEXAS INSTRS INC 2,900 260 0.17%
324 TEXAS INSTRS INC 5,900 278 0.18%
325 THERMO FISHER SCIENTIFIC INC 4,900 589 0.38%
326 TIME WARNER CABLE 1,700 233 0.15%
327 TJX COS INC NEW 9,000 546 0.35%
328 TORCHMARK CORP COM 9,300 732 0.47%
329 TORO CO 5,400 341 0.22%
330 TOWERS WATSON & CO 2,700 308 0.20%
331 TRIPADVISOR INC 9,500 861 0.56%
332 TRW AUTOMOTIVE HLDGS CORP 5,800 473 0.31%
333 TUPPERWARE BRANDS CORP COM 4,800 402 0.26%
334 TW TELECOM INC 9,200 288 0.19%
335 TYLER TECHNOLOGIES INC 4,700 393 0.25%
336 Tenneco Automotive Inc 4,800 279 0.18%
337 Tesla Inc 3,650 761 0.49%
338 Texas Capital Bancshares Inc 4,500 292 0.19%
339 U S AIRWAYS GROUP INC 23,900 109 0.07%
340 UBIQUITI NETWORKS INC 10,100 459 0.30%
341 UNDER ARMOUR INC 2,900 332 0.21%
342 UNION PAC CORP 2,400 450 0.29%
343 UNITED CONTL HLDGS 7,200 321 0.21%
344 UNITED RENTALS INC 5,900 560 0.36%
345 UNITED TECHNOLOGIES CORP 2,600 304 0.20%
346 UNIVERSAL HLTH SVCS INC 4,700 386 0.25%
347 United Therapeutics Corp 2,300 216 0.14%
348 V F CORP 6,100 377 0.24%
349 VALSPAR CORP 6,600 476 0.31%
350 VARIAN MEDICAL 8,000 672 0.43%
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