Turner Core Growth 130/30 Fund - Institutional Class Holdings
as of November 30, 2008
 Percentage of Portfolio Assets†
GILEAD SCIENCES INC3.75 %
GOOGLE INC3.44 %
SCHLUMBERGER3.08 %
PEPSICO INC2.95 %
INTEL CORP2.91 %
QUALCOMM2.77 %
BAXTER INTL2.77 %
SOUTHWESTERN ENERGY CO.2.65 %
COMCAST CORP CLASS A2.40 %
BLACKROCK INC2.24 %
MONSANTO CO NEW2.22 %
SCHWAB CHARLES CORP2.17 %
MARSH & MCLENNAN COS. INC2.16 %
GENL ELECTRIC2.12 %
APPLE INC2.07 %
HEWLETT-PACKARD2.04 %
SIEMENS AG1.94 %
CHINA MOBILE ADR1.84 %
KIMBERLY-CLARK1.80 %
TRANSOCEAN INC1.79 %
JP MORGAN CHASE & CO.1.79 %
CVS CORP1.74 %
T ROWE PRICE GROUP INC.1.68 %
CME GROUP INC1.57 %
VISA INC CLASS A1.56 %
CAMERON INTL CORP1.51 %
FIRST SOLAR INC1.48 %
UNION PAC CORP1.48 %
WELLS FARGO CO1.46 %
METROPCS COMM INC1.46 %
APPLIED MATERIALS INC1.44 %
GENZYME GENL DI1.41 %
VALERO ENERGY1.39 %
NVR INC1.36 %
BROADCOM CORP1.23 %
GENERAL MILLS INC1.21 %
ENBRIDGE INC1.16 %
PULTE HOMES INC1.16 %
CLOROX CO1.14 %
GENENTECH1.14 %
LAM RESEARCH1.13 %
COVIDIEN LTD1.11 %
EXPRESS SCRIPTS INC1.09 %
PETROHAWK ENERGY CORP1.09 %
KROGER CO1.07 %
KOHLS CORP1.07 %
SHERWIN WILLIAMS CO1.05 %
CABLEVISION1.00 %
AQUA AMERICA INC0.93 %
CAMPBELL SOUP0.91 %
F5 NETWORKS, INC.0.89 %
STAPLES INC0.88 %
UNITED PARCEL SERVICES0.86 %
ROBERT HALF INT'L INC0.84 %
APOLLO GROUP INC-CL A0.80 %
LOWE'S COS INC0.80 %
ACTIVISION BLIZZARD INC0.75 %
URBAN OUTFITTER0.73 %
MYRIAD GENETICS0.70 %
ADOBE SYSTEMS INC0.68 %
DAVITA INC0.67 %
ARCHER-DANIELS-MIDLAND CO0.65 %
INTUITIVE SURGICAL INC.0.65 %
GUESS INC0.45 %
Sandisk Corp0.42 %
WYNN RESORTS LTD0.41 %
FTI CONSULTING INC0.41 %
UNITED THERAPEUTICS CORP0.33 %
ILLUMINA INC0.14 %

† Based on Market Value

These holdings are not recommendations and we may no longer hold these securities.