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Institutional Investment Manager
Clark Capital Management Group, Inc.
Clark Capital Management Group, Inc. (CIK: 0001352187) incorporated in Pennsylvania, located at One Liberty Place, 53rd Floor, Philadelphia, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 300 holdings with a total value of $1,233,265,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 KIMBERLY CLARK CORP 59,238 7,541,000 0.61%
252 VANGUARD WORLD FD 70,222 7,604,000 0.62%
253 HASBRO INC 113,285 7,631,000 0.62%
254 TARGET CORP 107,600 7,813,000 0.63%
255 DISNEY WALT CO 77,759 8,171,000 0.66%
256 ISHARES MSCI ETF IRELAND CAPPD INVESTABLE 201,219 8,363,000 0.68%
257 AMERICAN EAGLE OUTFITTERS NE 544,163 8,435,000 0.68%
258 SELECT SECTOR SPDR TR 109,543 8,562,000 0.69%
259 WISDOMTREE TR 108,415 8,729,000 0.71%
260 LYONDELLBASELL INDUSTRIES N 102,312 8,891,000 0.72%
261 HONEYWELL INTL INC 86,637 8,973,000 0.73%
262 NIELSEN HLDGS PLC 193,370 9,011,000 0.73%
263 TEVA PHARMACEUTICAL INDS LTD 137,374 9,017,000 0.73%
264 ALTRIA GROUP INC 163,682 9,528,000 0.77%
265 FIRST TR EXCHANGE TRADED FD 128,269 9,570,000 0.78%
266 CISCO SYS INC 359,480 9,762,000 0.79%
267 AMGEN INC 61,258 9,944,000 0.81%
268 BRISTOL MYERS SQUIBB CO 145,908 10,037,000 0.81%
269 PEPSICO INC 102,045 10,196,000 0.83%
270 FOOT LOCKER INC 157,989 10,284,000 0.83%
271 BANK MONTREAL QUE 182,272 10,284,000 0.83%
272 ISHARES TR 100,038 10,385,000 0.84%
273 ISHARES MSCI EAFE SMALL CAP IDX FD 208,591 10,419,000 0.84%
274 UNITEDHEALTH GROUP INC 89,139 10,486,000 0.85%
275 SELECT SECTOR SPDR TR 209,034 10,554,000 0.86%
276 EXXON MOBIL CORP 137,007 10,680,000 0.87%
277 NORTHROP GRUMMAN CORP 59,725 11,277,000 0.91%
278 PFIZER INC 351,571 11,349,000 0.92%
279 CLOROX CO DEL 89,969 11,411,000 0.93%
280 ISHARES TR 276,826 11,577,000 0.94%
281 WISDOMTREE JAPAN SMALLCAP DIVIDEND FUND 214,270 12,119,000 0.98%
282 LOCKHEED MARTIN CORP 61,828 13,426,000 1.09%
283 PNC FINL SVCS GROUP INC 143,219 13,650,000 1.11%
284 JPMORGAN CHASE & CO 208,297 13,754,000 1.12%
285 VERIZON COMMUNICATIONS INC 299,553 13,845,000 1.12%
286 TEXAS INSTRS INC 253,119 13,873,000 1.12%
287 GILEAD SCIENCES INC 139,559 14,122,000 1.15%
288 HOME DEPOT INC 121,792 16,107,000 1.31%
289 WELLS FARGO & CO NEW 300,706 16,346,000 1.33%
290 POWERSHARES QQQ TRUST 149,303 16,701,000 1.35%
291 MICROSOFT CORP 308,525 17,117,000 1.39%
292 TRAVELERS COMPANIES INC 152,033 17,158,000 1.39%
293 SPDR SERIES TRUST 254,551 17,788,000 1.44%
294 HARRIS CORP 209,921 18,242,000 1.48%
295 APPLE INC 176,750 18,605,000 1.51%
296 ISHARES 7-10 YEAR TREASURY BOND ETF 343,605 36,281,000 2.94%
297 ISHARES TR 426,837 52,334,000 4.24%
298 ISHARES TR 461,158 53,402,000 4.33%
299 SPDR S&P 500 ETF TR 305,875 62,359,000 5.06%
300 SPDR SERIES TRUST 1,167,919 70,297,000 5.70%
Page 6 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001398344-16-009937, filed 2016.02.16).

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.