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Institutional Investment Manager
Eagle Capital Management, LLC
Eagle Capital Management, LLC (CIK: 0001600746) incorporated in Louisiana, located at 1417 West Causeway Approach, Mandeville, LA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 56 holdings with a total value of $189,072,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 YAHOO INC 4,610 205,000 0.11%
2 FRANKS INTL N V 11,950 223,000 0.12%
3 SELECT SECTOR SPDR TR 10,415 251,000 0.13%
4 Archer-Daniels-Midland 5,650 268,000 0.14%
5 SCHWAB U.S. BROAD MARKET ETF 11,508 581,000 0.31%
6 GOOGLE INC 2,261 1,239,000 0.66%
7 ISHARES NASDAQ BIOTECHNOLOGY ETF 2,585 1,434,000 0.76%
8 SCHWAB US DIVIDEND EQUITY ETF 41,713 1,644,000 0.87%
9 SCHWAB U.S. LARGE-CAP GROWTH ETF 31,751 1,710,000 0.90%
10 BOEING CO 11,547 1,733,000 0.92%
11 SCHWAB U.S. LARGE-CAP ETF 35,586 1,764,000 0.93%
12 KINDER MORGAN INC DEL 43,605 1,834,000 0.97%
13 CHEVRON CORP NEW 18,643 1,957,000 1.04%
14 INTEL CORP 66,478 2,079,000 1.10%
15 UNITED PARCEL SERVICE INC 22,268 2,159,000 1.14%
16 Hewlett Packard Co 70,648 2,201,000 1.16%
17 KRAFT HEINZ CO COM 26,199 2,282,000 1.21%
18 SELECT SECTOR SPDR TR 29,430 2,283,000 1.21%
19 CHECK POINT SOFTWARE TECH LT 31,946 2,619,000 1.39%
20 AMBARELLA INC 35,532 2,690,000 1.42%
21 KIMBERLY CLARK CORP 26,507 2,839,000 1.50%
22 SPDR SERIES TRUST 26,711 2,840,000 1.50%
23 INTUIT 30,195 2,928,000 1.55%
24 AMAZON COM INC 7,981 2,970,000 1.57%
25 ECOLAB INC 26,454 3,026,000 1.60%
26 MICROSOFT CORP 74,886 3,044,000 1.61%
27 VERIZON COMMUNICATIONS INC 62,801 3,054,000 1.62%
28 GENUINE PARTS CO 33,395 3,112,000 1.65%
29 THERMO FISHER SCIENTIFIC INC 23,212 3,118,000 1.65%
30 ACCENTURE PLC IRELAND 34,251 3,209,000 1.70%
31 SOUTHWEST AIRLS CO 72,886 3,229,000 1.71%
32 UNION PAC CORP 29,906 3,239,000 1.71%
33 SEMPRA ENERGY 29,916 3,261,000 1.72%
34 VISA INC 51,059 3,340,000 1.77%
35 3M CO 21,079 3,477,000 1.84%
36 GILEAD SCIENCES INC 35,562 3,490,000 1.85%
37 American Water Works, Inc. 65,535 3,553,000 1.88%
38 WALGREENS BOOTS ALLIANCE INC 42,069 3,562,000 1.88%
39 TEXAS INSTRS INC 62,496 3,574,000 1.89%
40 BIOGEN INC 8,564 3,616,000 1.91%
41 NIKE INC 36,073 3,619,000 1.91%
42 AMGEN INC 22,959 3,670,000 1.94%
43 FACEBOOK INC 44,682 3,674,000 1.94%
44 STARBUCKS CORP 38,953 3,689,000 1.95%
45 DISNEY WALT CO 35,374 3,710,000 1.96%
46 Market Vectors Biotech 30,868 4,000,000 2.12%
47 HOME DEPOT INC 35,749 4,061,000 2.15%
48 POWERSHARES ETF TRUST 85,760 4,229,000 2.24%
49 UNITEDHEALTH GROUP INC 36,953 4,371,000 2.31%
50 SPDR DOW JONES INDL AVRG ETF 27,814 4,939,000 2.61%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001600746-15-000003, filed 2015.04.17).

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.