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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 (2017Q1)
Portfolio Summary: 189 holdings with a total value of $711,389,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 EDWARDS LIFESCIENCES CORP 50,285 4,730,000 0.66%
52 NOVARTIS A G 63,538 4,719,000 0.66%
53 NORFOLK SOUTHERN CORP 41,652 4,664,000 0.66%
54 WATERS CORP 29,652 4,635,000 0.65%
55 WALGREENS BOOTS ALLIANCE INC 55,750 4,630,000 0.65%
56 CUMMINS INC 30,514 4,614,000 0.65%
57 WHIRLPOOL CORP 25,978 4,451,000 0.63%
58 PANERA BREAD CO 16,628 4,354,000 0.61%
59 CVS HEALTH CORP 54,940 4,313,000 0.61%
60 PROCTER AND GAMBLE CO 45,547 4,092,000 0.58%
61 AUTODESK INC 47,140 4,076,000 0.57%
62 MERCK & CO INC 62,287 3,958,000 0.56%
63 HENRY SCHEIN INC 23,140 3,933,000 0.55%
64 DONALDSON INC 85,000 3,869,000 0.54%
65 FLEX LTD 225,475 3,788,000 0.53%
66 PFIZER INC 99,653 3,409,000 0.48%
67 ISHARES TR 11,085 3,251,000 0.46%
68 UNITED PARCEL SERVICE INC 30,282 3,249,000 0.46%
69 BIOGEN INC 11,787 3,223,000 0.45%
70 BARD C R INC 12,960 3,221,000 0.45%
71 ORACLE CORP 68,781 3,068,000 0.43%
72 GENERAL ELECTRIC CO 102,810 3,064,000 0.43%
73 LILLY ELI & CO 32,247 2,712,000 0.38%
74 CISCO SYS INC 79,425 2,685,000 0.38%
75 PLAINS GP HLDGS L P 83,633 2,614,000 0.37%
76 TEVA PHARMACEUTICAL INDS LTD 77,135 2,475,000 0.35%
77 DAVITA INC 36,020 2,448,000 0.34%
78 INTUITIVE SURGICAL INC 3,110 2,384,000 0.34%
79 HCA HOLDINGS INC 26,150 2,327,000 0.33%
80 TIFFANY & CO NEW 23,585 2,248,000 0.32%
81 VERIZON COMMUNICATIONS INC 46,024 2,244,000 0.32%
82 ZOETIS INC 41,235 2,201,000 0.31%
83 BRISTOL MYERS SQUIBB CO 39,974 2,174,000 0.31%
84 BAXTER INTL INC 41,904 2,173,000 0.31%
85 YUM BRANDS INC 31,930 2,040,000 0.29%
86 ABBOTT LABS 45,864 2,037,000 0.29%
87 MCDONALDS CORP 15,653 2,029,000 0.29%
88 UNION PAC CORP 17,895 1,895,000 0.27%
89 VISA INC 19,655 1,747,000 0.25%
90 MASTERCARD INCORPORATED 15,500 1,743,000 0.25%
91 STERICYCLE INC 20,891 1,732,000 0.24%
92 UNITEDHEALTH GROUP INC 9,945 1,631,000 0.23%
93 ISHARES TR 18,555 1,568,000 0.22%
94 HAIN CELESTIAL GROUP INC 41,915 1,559,000 0.22%
95 DOW CHEM CO 24,340 1,547,000 0.22%
96 NORWEGIAN CRUISE LINE HLDG L 30,500 1,547,000 0.22%
97 SQUARE INC 88,680 1,532,000 0.22%
98 COCA COLA CO 32,591 1,383,000 0.19%
99 COMPUTER SCIENCES CORP 18,580 1,282,000 0.18%
100 MONSANTO CO NEW 10,995 1,245,000 0.18%
Page 2 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001111830-17-000252, filed 2017.05.11).

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.