Instuitional Investor - Aristotle Capital Management, Llc

Fund Profile
Filing Period:
Fund Name: Aristotle Capital Management, Llc
Portfolio Value $45,189,044,000
Fund Holdings Sector Distribution
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No. Security Ticker Shares Value (x$1000) % Port
1. MSFT 7,430,060 $1,737,548 3.84%
2. CTVA 28,635,821 $1,636,537 3.62%
3. DHR 5,266,273 $1,365,745 3.02%
4. MCHP 18,465,720 $1,132,351 2.5%
5. MLM 3,490,133 $1,129,539 2.49%