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Institutional Investment Manager
Centre Asset Management, LLC
Centre Asset Management, LLC (CIK: 0001532472) incorporated in New York, located at 48 Wall Street, Suite 1100, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 102 holdings with a total value of $673,635,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ORACLE CORP 154,759 6,678,000 0.99%
52 GENERAL DYNAMICS CORP 51,510 6,991,000 1.04%
53 WAL-MART STORES INC 87,037 7,159,000 1.06%
54 MERCK & CO INC 125,347 7,205,000 1.07%
55 E M C CORP MASS COM 290,250 7,419,000 1.10%
56 MASTERCARD INCORPORATED 90,790 7,843,000 1.16%
57 CAMERON INTERNATIONAL COMPANY 175,880 7,936,000 1.18%
58 TARGET CORP 96,786 7,943,000 1.18%
59 SUNTRUST BKS INC 194,110 7,976,000 1.18%
60 TEXTRON INC 182,840 8,105,000 1.20%
61 PROCTER AND GAMBLE CO 99,938 8,189,000 1.22%
62 ALLEGHENY TECHNOLOGIES INC 293,700 8,814,000 1.31%
63 ILLINOIS TOOL WKS INC 92,310 8,967,000 1.33%
64 NVIDIA CORPORATION 431,654 9,032,000 1.34%
65 MICRON TECHNOLOGY INC 348,010 9,442,000 1.40%
66 3M CO 57,408 9,469,000 1.41%
67 C H ROBINSON WORLDWIDE INC 131,910 9,658,000 1.43%
68 INTEL CORP 315,169 9,855,000 1.46%
69 ARCHER DANIELS MIDLAND CO 209,630 9,936,000 1.47%
70 BARD C R INC 59,630 9,979,000 1.48%
71 ABBVIE INC 173,571 10,161,000 1.51%
72 MEDTRONIC PLC USD0.0001 130,370 10,168,000 1.51%
73 CELGENE CORP 88,330 10,183,000 1.51%
74 Linear Technology Corp 218,590 10,230,000 1.52%
75 TEXAS INSTRS INC 179,620 10,272,000 1.52%
76 ACTAVIS PLC USD0.0001 34,740 10,339,000 1.53%
77 ISHARES NASDAQ BIOTECHNOLOGY ETF 18,850 10,456,000 1.55%
78 STARBUCKS CORP 112,690 10,672,000 1.58%
79 WELLS FARGO & CO NEW 201,418 10,957,000 1.63%
80 CHIPOTLE MEXICAN GRILL INC 16,850 10,962,000 1.63%
81 ALTRIA GROUP INC 221,290 11,069,000 1.64%
82 INTERNATIONAL FLAVORS&FRAGRA 95,320 11,191,000 1.66%
83 JOHNSON & JOHNSON 114,780 11,547,000 1.71%
84 GOOGLE INC 21,076 11,550,000 1.71%
85 COMCAST CORP NEW 214,640 12,121,000 1.80%
86 CVS HEALTH CORP 117,605 12,138,000 1.80%
87 COCA COLA CO 311,007 12,611,000 1.87%
88 QUALCOMM INC 182,410 12,648,000 1.88%
89 VULCAN MATLS CO 150,570 12,693,000 1.88%
90 DISNEY WALT CO 125,768 13,192,000 1.96%
91 AMGEN INC 85,623 13,687,000 2.03%
92 VISA INC 210,070 13,741,000 2.04%
93 AMAZON COM INC 37,374 13,907,000 2.06%
94 HOME DEPOT INC 122,427 13,909,000 2.06%
95 FACEBOOK INC 180,580 14,846,000 2.20%
96 PEPSICO INC 156,065 14,923,000 2.22%
97 UNION PAC CORP 141,108 15,283,000 2.27%
98 LOWES COS INC 206,615 15,370,000 2.28%
99 BIOGEN INC 40,960 17,295,000 2.57%
100 GILEAD SCIENCES INC 194,615 19,098,000 2.84%
Page 2 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001532472-15-000002, filed 2015.05.06).

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.