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Institutional Investment Manager
NorthCoast Asset Management LLC
NorthCoast Asset Management LLC (CIK: 0001456227) incorporated in Delaware, located at One Greenwich Office Park, Greenwich, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 138 holdings with a total value of $1,835,133,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 WAL-MART STORES INC 39,187 2,541,000 0.14%
52 TOYOTA MOTOR CORP 21,735 2,549,000 0.14%
53 WHIRLPOOL CORP 17,475 2,573,000 0.14%
54 SONIC CORP 113,755 2,611,000 0.14%
55 NXP Semiconductors NV 30,372 2,644,000 0.14%
56 Sumitomo Mitsui Sponsored ADR 349,798 2,669,000 0.15%
57 PROGRESSIVE WASTE SOLUTIONS LT 101,092 2,671,000 0.15%
58 SK TELECOM LTD 109,989 2,684,000 0.15%
59 ING GROEP N V 192,364 2,718,000 0.15%
60 BERKSHIRE HATHAWAY INC DEL 20,947 2,731,000 0.15%
61 POLYCOM INC 268,736 2,816,000 0.15%
62 BEST BUY INC 77,024 2,859,000 0.16%
63 SUNCOR ENERGY INC NEW 108,405 2,897,000 0.16%
64 SCRIPPS NETWORKS INTERACT IN 59,108 2,908,000 0.16%
65 CONSTANT CONTACT INC 123,334 2,990,000 0.16%
66 PAYCHEX INC 53,466 3,044,000 0.17%
67 Accenture PLC Ireland Class A 31,904 3,135,000 0.17%
68 SANDERSON FARMS INC 45,746 3,137,000 0.17%
69 Jazz Pharmaceuticals PLC USD 23,923 3,177,000 0.17%
70 SCOTTS MIRACLE-GRO CO 52,607 3,200,000 0.17%
71 CISCO SYSTEMS INC 123,986 3,255,000 0.18%
72 PBF Energy Inc Cl A 115,326 3,256,000 0.18%
73 DECKERS OUTDOOR CORP 57,389 3,332,000 0.18%
74 NETAPP INC COM 113,886 3,371,000 0.18%
75 METLIFE INC 72,473 3,417,000 0.19%
76 INTERNATIONAL BUSINESS MACHS 24,357 3,531,000 0.19%
77 COMPUTER SCIENCES CORP 58,542 3,593,000 0.20%
78 Verizon Communications Inc 86,791 3,776,000 0.21%
79 PROLOGIS INC 97,782 3,804,000 0.21%
80 THOR INDS INC 77,108 3,994,000 0.22%
81 Bayer AG SA ADR OTC 31,312 4,000,000 0.22%
82 MAGNA INTL INC 83,471 4,007,000 0.22%
83 BUNGE LIMITED 55,106 4,039,000 0.22%
84 MERCK & CO INC 85,053 4,201,000 0.23%
85 FACTSET RESH SYS INC 26,962 4,309,000 0.23%
86 China Mobile Hong Kong Ltd 72,614 4,321,000 0.24%
87 DaimlerChrysler 60,431 4,402,000 0.24%
88 TEVA PHARMACEUTICAL INDS LTD 81,121 4,580,000 0.25%
89 Delphi Automotive PLC 66,280 5,040,000 0.27%
90 POPULAR INC COM NEW 166,872 5,045,000 0.27%
91 BASF SE 67,798 5,170,000 0.28%
92 SOHU.COM INC 126,909 5,241,000 0.29%
93 ROCHE HOLDING LTD SPONSORED AD 161,537 5,311,000 0.29%
94 Novartis AG ADR 59,210 5,443,000 0.30%
95 DISCOVER FINL SVCS 107,489 5,588,000 0.30%
96 CHECK POINT SOFTWARE TECH LT 71,942 5,707,000 0.31%
97 SONY GROUP CORP 237,080 5,808,000 0.32%
98 LyondellBasell Industries NV A 73,951 6,165,000 0.34%
99 CARNIVAL CORP 130,545 6,488,000 0.35%
100 THOMSON REUTERS CORP 189,281 7,620,000 0.42%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001456227-15-000008, filed 2015.12.01).

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.