Legg Mason ClearBridge Large Cap Growth Fund

Download Full Holdings





   as of Dec-31-2009
 
IDENTIFIERPAR/SHARESSECURITIES DESCRIPTION (all data unaudited)MARKET VALUE% OF INVESTMENTS
023135106 789,530 Amazon.com Inc $106,207,575.60 5.54
38259P508 140,790 Google Inc $87,286,984.20 4.56
191216100 1,437,240 Coca-Cola Co $81,922,680.00 4.28
09247X101 319,230 Blackrock Inc $74,125,206.00 3.87
00971T101 2,871,520 Akamai Technologies Inc $72,735,601.60 3.80
747525103 1,533,130 Qualcomm Inc $70,922,593.80 3.70
084670108 700 Berkshire Hathaway Inc $69,440,000.00 3.62
478160104 1,057,040 Johnson & Johnson $68,083,946.40 3.55
756577102 2,133,750 Red Hat Inc $65,932,875.00 3.44
67066G104 3,502,670 NVIDIA Corp $65,429,875.60 3.41
151020104 1,100,000 Celgene Corp $61,248,000.00 3.20
031162100 1,045,780 Amgen Inc $59,159,774.60 3.09
713448108 972,490 Pepsico Inc $59,127,392.00 3.09
126650100 1,813,970 CVS Corp $58,427,973.70 3.05
254687106 1,806,610 Walt Disney Co $58,263,172.50 3.04
17275R102 2,433,510 Cisco Systems Inc $58,258,229.40 3.04
711038901 342,140 Roche Holdings AG $58,203,548.70 3.04
437076102 1,993,830 Home Depot Inc $57,681,501.90 3.01
458140100 2,722,510 Intel Corp $55,539,204.00 2.90
92532F100 1,283,770 Vertex Pharmaceuticals Co $55,009,544.50 2.87
09062X103 959,210 Biogen IDEC Inc $51,317,735.00 2.68
48203R104 1,919,510 Juniper Networks Inc $51,193,331.70 2.67
742718109 829,380 Procter & Gamble Co $50,285,309.40 2.62
594918104 1,569,300 Microsoft Corp $47,847,957.00 2.50
278642103 2,019,330 eBay Inc $47,535,028.20 2.48
808513105 2,477,850 Charles Schwab Corp $46,633,137.00 2.43
631103108 2,311,980 NASDAQ Stk Mkt Inc $45,823,443.60 2.39
929QJF008 45,362,000 RBS Securities Repo $45,362,000.00 2.37
285512109 2,176,170 Electronic Arts Inc $38,627,017.50 2.02
369604103 2,344,380 General Electric Co $35,470,469.40 1.85
984332106 1,895,090 Yahoo Inc $31,799,610.20 1.66
812350106 367,370 Sears Holdings Corp $30,657,026.50 1.60
28176E108 305,800 Edwards Lifesciences Corp $26,558,730.00 1.39
336433107 178,360 First Solar Inc $24,149,944.00 1.26




Portfolio holdings are subject to change at any time without notice and do not reflect trade date activity. Percentages are based on total investments. This information is provided for information purposes only and should not be construed as a recommendation to purchase or sell any security.

All investments involve risk, including possible loss of principal.

Investors should consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus contains this and other information about a fund. To obtain a free prospectus, please view the product specific page on this website and click on the prospectus link. An investor should read the prospectus carefully before investing.

All investment managers mentioned are subsidiaries of Legg Mason, Inc. Legg Mason Investor Services, LLC, is a subsidiary of Legg Mason, Inc.

Derivatives, such as options and futures, can be illiquid, may disproportionately increase losses, and have a potentially large impact on fund performance.

This site is intended for U.S. investors only. The products and services described on this site are generally not available to non-U.S. investors.


Copyright © 2010 Legg Mason Investor Services, LLC. Member FINRASIPC