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Institutional Investment Manager
CONTRAVISORY INVESTMENT MANAGEMENT, INC.
CONTRAVISORY INVESTMENT MANAGEMENT, INC. (CIK: 0001365707) incorporated in Massachusetts, located at 120 Longwater Drive, Norwell, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 196 holdings with a total value of $342,573,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 PROSHARES SHORT MIDCAP 44,113 683,000 0.20%
152 SELECT SECTOR SPDR TR 31,899 718,000 0.21%
153 SELECT SECTOR SPDR FUND SHS BE 15,472 1,224,000 0.36%
154 SELECT SECTOR SPDR TR 59,743 2,650,000 0.77%
155 UNIVERSAL CORP VA 94,137 5,348,000 1.56%
156 CHURCH & DWIGHT 58,635 5,405,000 1.58%
157 RED HAT INC 73,122 5,448,000 1.59%
158 J2 GLOBAL INC 90,200 5,555,000 1.62%
159 EXPEDIA INC 52,924 5,706,000 1.67%
160 CONVERGYS CORPORATION 210,048 5,833,000 1.70%
161 WATERS CORP 46,345 6,114,000 1.78%
162 BANKUNITED INC 178,299 6,141,000 1.79%
163 SECTOR SPDR TRUST SBI CONSUMER 116,192 6,165,000 1.80%
164 PALO ALTO NETWORKS INC 37,930 6,188,000 1.81%
165 EBAY INC 261,696 6,244,000 1.82%
166 AON PLC 61,673 6,442,000 1.88%
167 MARKEL CORP 7,536 6,719,000 1.96%
168 BANK NEW YORK MELLON CORP 183,163 6,746,000 1.97%
169 ANSYS INC 76,340 6,829,000 1.99%
170 Netflix Com Inc 67,512 6,902,000 2.01%
171 PROGRESSIVE CORP OHIO 197,677 6,946,000 2.03%
172 Verisk Analytics 87,064 6,958,000 2.03%
173 BOOZ ALLEN HAMILTON HLDG COR 230,648 6,984,000 2.04%
174 SMUCKER J M CO 54,289 7,049,000 2.06%
175 LABORATORY CORP AMER HLDGS 61,664 7,223,000 2.11%
176 WEBSTER FINL CORP CONN 204,876 7,355,000 2.15%
177 MONDELEZ INTL INC 204,061 8,187,000 2.39%
178 AVALONBAY COMM 43,767 8,324,000 2.43%
179 COCA COLA CO 182,407 8,462,000 2.47%
180 TJX COS INC NEW 108,747 8,520,000 2.49%
181 PANERA BREAD CO 41,622 8,525,000 2.49%
182 CARNIVAL CORP 162,817 8,592,000 2.51%
183 MCCORMICK & CO INC 86,454 8,600,000 2.51%
184 JOHNSON & JOHNSON 80,758 8,738,000 2.55%
185 Equity Residential Properties 121,650 9,127,000 2.66%
186 ANHEUSER BUSH INBEV SA/NV 73,471 9,159,000 2.67%
187 CMS ENERGY CORP 219,169 9,302,000 2.72%
188 INTERNATIONAL FLAVORS&FRAGRA 83,654 9,517,000 2.78%
189 NISOURCE INC 405,682 9,558,000 2.79%
190 GENERAL MLS INC 155,836 9,872,000 2.88%
191 CHECK POINT SOFTWARE TECH LT 112,983 9,883,000 2.88%
192 AMGEN INC 66,643 9,992,000 2.92%
193 Accenture PLC Ireland Class A 87,518 10,100,000 2.95%
194 Facebook Inc Cl A 90,324 10,306,000 3.01%
195 INGREDION INC 98,365 10,504,000 3.07%
196 CINTAS CORP 128,694 11,558,000 3.37%
Page 4 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-015725, filed 2016.04.11).

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.