Dark
Light
System
Institutional Investment Manager
HERNDON CAPITAL MANAGEMENT LLC
HERNDON CAPITAL MANAGEMENT LLC (CIK: 0001320005) incorporated in Delaware, located at 191 Peachtree St. N E, Atlanta, GA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 200 holdings with a total value of $6,687,031,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 AMERISOURCEBERGEN CORP 40,103 4,547,000 0.07%
152 POLARIS INDS INC 34,694 4,883,000 0.07%
153 CIGNA CORPORATION 39,650 5,128,000 0.08%
154 SUNCOR ENERGY INC NEW 210,797 6,149,000 0.09%
155 MICHAEL KORS HLDGS LTD 96,757 6,356,000 0.10%
156 CORE LABORATORIES N V 61,120 6,381,000 0.10%
157 INFOSYS LTD 208,712 7,318,000 0.11%
158 NETEASE INC 70,154 7,382,000 0.11%
159 BAIDU INC 36,147 7,529,000 0.11%
160 COPA HOLDINGS SA 459,992 46,359,000 0.69%
161 YUM BRANDS INC 788,928 62,019,000 0.93%
162 BAXTER INTL INC 938,309 64,198,000 0.96%
163 ATWOOD OCEANICS INC 2,885,467 81,019,000 1.21%
164 CONTINENTAL RESOURE 2,287,209 99,804,000 1.49%
165 SM ENERGY CO 2,063,124 106,541,000 1.59%
166 AFLAC INC 1,801,065 115,200,000 1.72%
167 UNITED PARCEL SERVICE INC 1,283,568 124,348,000 1.86%
168 GILEAD SCIENCES INC 1,325,198 129,963,000 1.94%
169 EATON VANCE CORP 3,295,015 137,115,000 2.05%
170 VERIZON COMMUNICATIONS INC 2,822,948 137,197,000 2.05%
171 OIL STS INTL INC 3,460,267 137,541,000 2.06%
172 WADDELL & REED FINL INC 2,821,499 139,692,000 2.09%
173 APACHE CORP 2,322,057 140,006,000 2.09%
174 LYONDELLBASELL INDUSTRIES N 1,607,208 141,028,000 2.11%
175 CF INDS HLDGS INC 525,701 149,041,000 2.23%
176 VERISK ANALYTICS INC 2,118,163 151,161,000 2.26%
177 ROCKWELL COLLINS INC 1,605,081 154,883,000 2.32%
178 APARTMENT INVT & MGMT CO 3,993,243 157,098,000 2.35%
179 MICROSOFT CORP 3,869,019 157,219,000 2.35%
180 PHILIP MORRIS INTL INC 2,143,727 161,412,000 2.41%
181 DISCOVER FINL SVCS 2,918,635 164,385,000 2.46%
182 MOODYS CORP 1,586,075 164,552,000 2.46%
183 NATIONSTAR MTG HLDGS INCORPORATED 6,771,144 167,636,000 2.51%
184 CONOCOPHILLIPS 2,805,853 174,608,000 2.61%
185 COLGATE PALMOLIVE CO 2,536,407 175,799,000 2.63%
186 WESTERN UN CO 8,454,135 175,846,000 2.63%
187 VALERO ENERGY CORP NEW 2,794,385 177,696,000 2.66%
188 NEWMARKET CORP 380,097 181,520,000 2.71%
189 ROSS STORES INC 1,732,493 182,441,000 2.73%
190 ALTRIA GROUP INC 3,684,594 184,225,000 2.75%
191 S&P GLOBAL INC 1,793,594 185,363,000 2.77%
192 WESTERN DIGITAL CORP 2,041,389 185,708,000 2.78%
193 EXXON MOBIL CORP 2,195,003 186,498,000 2.79%
194 CAMPBELL SOUP CO 4,201,591 195,513,000 2.92%
195 MYLAN N V 3,419,261 202,851,000 3.03%
196 CBOE HLDGS INC 3,596,633 206,370,000 3.09%
197 MARATHON PETE CORP 2,094,270 214,351,000 3.21%
198 TJX COS INC NEW 3,246,891 227,357,000 3.40%
199 LOCKHEED MARTIN CORP 1,140,362 231,370,000 3.46%
200 APPLE INC 2,323,548 289,031,000 4.32%
Page 4 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000909012-15-000201, filed 2015.05.13).

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.