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Institutional Investment Manager
TSP Capital Management Group, LLC
TSP Capital Management Group, LLC (CIK: 0001317208), located at 382 Springfield Avenue, Suite 500, Summit, NJ. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 61 holdings with a total value of $193,089,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 HALCON RES CORP 59,640 28,000 0.01%
2 PITNEY BOWES INC 10,100 180,000 0.09%
3 KAYNE ANDERSON ENERGY DEV COMPANY 14,470 281,000 0.15%
4 LIBERTY GLOBAL PLC 10,037 292,000 0.15%
5 COCA COLA CO 6,920 314,000 0.16%
6 CITIGROUPINC 7,700 326,000 0.17%
7 GENERAL ELECTRIC CO 10,954 345,000 0.18%
8 AT&T INC 9,350 404,000 0.21%
9 WEYERHAEUSER CO 13,865 413,000 0.21%
10 Wright Medical Group NV 24,300 422,000 0.22%
11 PUBLIC SVC ENTERPRISE GRP IN 9,200 429,000 0.22%
12 3M CO 2,500 438,000 0.23%
13 ABBVIE INC 8,398 520,000 0.27%
14 VALLEY NATL BANCORP 63,050 575,000 0.30%
15 VERIZON COMMUNICATIONS INC 13,449 751,000 0.39%
16 LIBERTY GLOBAL PLC 27,171 778,000 0.40%
17 LIBERTY M SIRIUSXM C 27,872 860,000 0.45%
18 HELMERICH & PAYNE INC 13,450 903,000 0.47%
19 AMERICAN WTR WKS CO INC NEW 13,200 1,116,000 0.58%
20 HANCOCK JOHN PFD INCOME FD 57,050 1,303,000 0.67%
21 MEDTRONIC PLC 15,530 1,348,000 0.70%
22 ISHARES SILVER TR 82,900 1,481,000 0.77%
23 OCCIDENTAL PETE CORP DEL 20,299 1,534,000 0.79%
24 CISCO SYS INC 58,600 1,582,000 0.82%
25 DEPOMED INC 82,300 1,615,000 0.84%
26 CONAGRA BRANDS INC 34,125 1,632,000 0.85%
27 CHEVRON CORP NEW 15,590 1,634,000 0.85%
28 TIME WARNER INC 23,248 1,710,000 0.89%
29 DISCOVERY COMMUNICATNS NEW 70,248 1,772,000 0.92%
30 Babson Cap Corporate I 102,608 1,844,000 0.96%
31 STATOIL ASA 108,725 1,882,000 0.97%
32 EXXON MOBIL CORP 21,081 1,976,000 1.02%
33 KAYNE ANDERSON MLP INVT CO 101,000 2,055,000 1.06%
34 PFIZER INC 61,977 2,182,000 1.13%
35 DISCOVERY COMMUNICATNS NEW 91,738 2,188,000 1.13%
36 ROVI CORP COM EXCHANGEDFOR CU 141,500 2,213,000 1.15%
37 HYDROGENICS CORP NEW 356,406 2,459,000 1.27%
38 MERCK & CO INC 47,223 2,721,000 1.41%
39 DUKE ENERGY CORP NEW 32,185 2,761,000 1.43%
40 FREEPORT-MCMORAN INC 250,100 2,786,000 1.44%
41 BLOCK H & R INC 122,850 2,826,000 1.46%
42 CELLDEX THERAPEUTICS INC NEW 818,473 3,593,000 1.86%
43 COMPANHIA ENERGETICA DE MINA 1,975,739 4,366,000 2.26%
44 AMERICA MOVIL SAB DE CV 363,520 4,457,000 2.31%
45 CHEMED CORP NEW COM 33,450 4,560,000 2.36%
46 BRISTOL MYERS SQUIBB CO 64,435 4,739,000 2.45%
47 WASTE MGMT INC DEL 85,988 5,698,000 2.95%
48 LILLY ELI & CO 73,134 5,759,000 2.98%
49 WESTERN UN CO 303,540 5,822,000 3.02%
50 BARINGS PARTN INVS TRUST 406,015 5,981,000 3.10%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001172661-16-003695, filed 2016.08.10).

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.