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Institutional Investment Manager
INVESTMENT HOUSE LLC
INVESTMENT HOUSE LLC (CIK: 0001566030) incorporated in Delaware, located at 210 Avenue I, Redondo Beach, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 178 holdings with a total value of $624,496,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 AUTODESK INC 47,665 2,581,000 0.41%
102 FLEX LTD 219,775 2,593,000 0.42%
103 CISCO SYS INC 93,130 2,672,000 0.43%
104 BIOGEN INC 11,199 2,708,000 0.43%
105 HARMAN INTL INDS INC 38,365 2,755,000 0.44%
106 DONALDSON INC 85,000 2,921,000 0.47%
107 ORACLE CORP 73,206 2,996,000 0.48%
108 YUM BRANDS INC 36,969 3,065,000 0.49%
109 GENERAL ELECTRIC CO 97,958 3,084,000 0.49%
110 BARD C R INC 13,160 3,095,000 0.50%
111 STERICYCLE INC 30,455 3,171,000 0.51%
112 HCA HOLDINGS INC 43,605 3,358,000 0.54%
113 UNITED PARCEL SERVICE INC 31,432 3,386,000 0.54%
114 CUMMINS INC 30,754 3,458,000 0.55%
115 MERCK & CO INC 61,812 3,561,000 0.57%
116 NORFOLK SOUTHERN CORP 42,002 3,576,000 0.57%
117 PFIZER INC 102,915 3,624,000 0.58%
118 SALESFORCE COM INC 46,855 3,721,000 0.60%
119 ALLERGAN PLC 16,588 3,833,000 0.61%
120 SAP SE 51,363 3,853,000 0.62%
121 PROCTER AND GAMBLE CO 45,647 3,865,000 0.62%
122 DAVITA INC 50,395 3,897,000 0.62%
123 HENRY SCHEIN INC 22,090 3,906,000 0.63%
124 WATERS CORP 30,002 4,220,000 0.68%
125 INTERNATIONAL BUSINESS MACHS 28,600 4,341,000 0.70%
126 3M CO 25,497 4,465,000 0.71%
127 TEVA PHARMACEUTICAL INDS LTD 91,035 4,573,000 0.73%
128 WALGREENS BOOTS ALLIANCE INC 55,552 4,626,000 0.74%
129 WHIRLPOOL CORP 27,766 4,627,000 0.74%
130 ALLIANCE DATA SYSTEMS CORP 23,960 4,694,000 0.75%
131 BRISTOL MYERS SQUIBB CO 66,444 4,887,000 0.78%
132 STRYKER CORP 40,826 4,892,000 0.78%
133 CARNIVAL CORP 116,730 5,159,000 0.83%
134 EDWARDS LIFESCIENCES CORP 51,810 5,167,000 0.83%
135 NOVARTIS A G 64,488 5,321,000 0.85%
136 TRIMBLE INC 228,601 5,569,000 0.89%
137 SYSCO CORP 109,856 5,574,000 0.89%
138 OMNICOM GROUP INC 69,653 5,676,000 0.91%
139 AUTOMATIC DATA PROCESSING IN 61,896 5,686,000 0.91%
140 QUALCOMM INC 107,856 5,778,000 0.93%
141 CVS HEALTH CORP 61,515 5,889,000 0.94%
142 NIKE INC 110,076 6,076,000 0.97%
143 PRICELINE GRP INC 4,869 6,079,000 0.97%
144 MACERICH CO 73,297 6,259,000 1.00%
145 ABBVIE INC 102,661 6,356,000 1.02%
146 PEPSICO INC 61,543 6,520,000 1.04%
147 TEXAS INSTRS INC 106,683 6,684,000 1.07%
148 GRAINGER W W INC 29,691 6,747,000 1.08%
149 SIX FLAGS ENTMT CORP NEW 117,010 6,781,000 1.09%
150 ALIBABA GROUP HLDG LTD 85,970 6,837,000 1.09%
Page 3 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001111830-16-001557, filed 2016.07.25).

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.