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Institutional Investment Manager
Advisors Capital Management, LLC
Advisors Capital Management, LLC (CIK: 0001345576) incorporated in Delaware, located at 10 Wilsey Square Suite 200, Ridgewood, NJ. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001345576-16-000017) filed in 2016.04.27
#
Name
Shares
Value ($)
%
Options
Notes
101 Anthem Inc 123,924 5,788 0.59%
102 MEDTRONIC PLC COM 79,053 5,929 0.60%
103 USG Corp 241,795 5,999 0.61%
104 XPO LOGISTICS INC 198,033 6,080 0.61%
105 Novartis AG ADR 87,137 6,312 0.64%
106 Prospect Capital Corporation 6,740,000 6,740 0.68% PRN
107 MASCO CORP 224,003 7,045 0.71%
108 NEW MTN FIN CORP 570,708 7,214 0.73%
109 LAM RESEARCH CORP 90,002 7,434 0.75%
110 GOODYEAR TIRE & RUBR CO 232,681 7,674 0.78%
111 CITIGROUPINC 184,298 7,694 0.78%
112 HAIN CELESTIAL GROUP INC 191,124 7,819 0.79%
113 NXP Semiconductors NV 96,564 7,828 0.79%
114 Paypal Holdings Inc 203,673 7,862 0.80%
115 HANESBRANDS INC 293,070 8,306 0.84%
116 KOHLS 183,264 8,542 0.86%
117 CVS HEALTH CORP 83,419 8,653 0.88%
118 AMERICAN INTL GROUP INC 161,434 8,726 0.88%
119 APPLE INC 80,502 8,774 0.89%
120 Ship Finance Intl Ltd 638,315 8,866 0.90%
121 ANTHEM INC 66,715 9,273 0.94%
122 Aircastle LTD 432,299 9,614 0.97%
123 LAS VEGAS SANDS CORP 190,392 9,839 1.00%
124 EXPRESS SCRIPTS HOLDING COMPAN 147,186 10,111 1.02%
125 WAL-MART STORES INC 149,998 10,273 1.04%
126 BOEING CO 83,518 10,602 1.07%
127 REYNOLDS AMERICAN INC 213,547 10,744 1.09%
128 CORNING INC 515,190 10,762 1.09%
129 SEAWORLD ENTMT INC 514,380 10,833 1.10%
130 VODAFONE GROUP PLC NEW 351,196 11,256 1.14%
131 CARNIVAL CORP 214,528 11,321 1.15%
132 NASDAQ OMX GROUP 171,031 11,353 1.15%
133 HERCULES CAPITAL INC 949,348 11,401 1.15%
134 JOHNSON & JOHNSON 105,942 11,463 1.16%
135 JPMorgan Chase & Co 196,837 11,657 1.18%
136 Enbridge Energy Management LLC 650,287 11,673 1.18%
137 NEW RESIDENTIAL INVESTMENT COR 1,020,824 11,872 1.20%
138 CARDINAL HEALTH INC 145,053 11,888 1.20%
139 Just Energy Grp Inc 2,088,860 12,407 1.25%
140 ALPHABET INC. CLASS C 17,469 13,014 1.32%
141 DOW CHEM CO 256,342 13,038 1.32%
142 Senior Housing Properties Trus 753,977 13,489 1.36%
143 Allergan PLC Conv Pfd Ser A 14,743 13,551 1.37%
144 QUALCOMM INC 268,659 13,739 1.39%
145 CYPRESS SEMICONDUCTOR CORP 1,682,052 14,566 1.47%
146 INTERNATIONAL BUSINESS MACHS 101,770 15,413 1.56%
147 Hospitality Properties trust 582,123 15,461 1.56%
148 General Motors Co 497,287 15,630 1.58%
149 BGC PARTNERS INC 1,736,374 15,714 1.59%
150 Macquarie Infrastructure 237,118 15,991 1.62%
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