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Institutional Investment Manager
BANK OF NOVA SCOTIA
BANK OF NOVA SCOTIA (CIK: 0000009631), registered under State Commercial Banks, located at 40 Temperance Street, Toronto, A6. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Original 13F HR (0001335382-16-000049) filed in 2016.11.14
#
Name
Shares
Value ($)
%
Options
Notes
301 COSTCO WHSL CORP NEW 25,635 3,909 0.02%
302 SBA COMMUNICATIONS CORP 34,764 3,899 0.02%
303 SHERWIN WILLIAMS CO 14,042 3,884 0.02%
304 WELLTOWER INC 50,730 3,793 0.02%
305 SALESFORCE COM INC 53,016 3,782 0.02%
306 MOHAWK INDS INC 18,871 3,781 0.02%
307 CONSTELLATION BRANDS INC 22,583 3,760 0.02%
308 INTEL CORP 96,811 3,655 0.02%
309 DESCARTES SYS GROUP INC 169,811 3,654 0.02%
310 KRAFT HEINZ CO 40,560 3,630 0.02%
311 BERKSHIRE HATHAWAY INC DEL 25,000 3,612 0.02%
312 JUNIPER NETWORKS INC 150,000 3,609 0.02%
313 POWERSHARES QQQ TRUST 29,923 3,553 0.02%
314 MERCK & CO INC 56,555 3,530 0.02%
315 WEBMD HEALTH CORPORATION 71,015 3,529 0.02%
316 ECOLAB INC 28,421 3,459 0.02%
317 LAUDER ESTEE COS INC 38,737 3,430 0.02%
318 DISNEY WALT CO 36,388 3,379 0.02%
319 COCA COLA CO 79,268 3,355 0.02%
320 CHURCH & DWIGHT 68,724 3,293 0.02%
321 CAMPBELL SOUP CO 60,000 3,282 0.02%
322 BLACKROCK ENHANCED EQT DIV T 415,600 3,279 0.02%
323 CISCO SYS INC 103,027 3,268 0.02%
324 BANK AMER CORP 208,610 3,265 0.02%
325 COMCAST CORP NEW 49,119 3,259 0.02%
326 HOME DEPOT INC 25,262 3,251 0.02%
327 BROCADE COMMUNICATIONS SYS I 350,000 3,231 0.02%
328 EATON VANCE TAX MANAGED DIVE 301,018 3,224 0.02%
329 AMERICAN HOMES 4 RENT CL A 148,782 3,220 0.02%
330 VISA INC 38,689 3,200 0.02%
331 PEPSICO INC 29,403 3,198 0.02%
332 OPEN TEXT CORP 49,226 3,189 0.02%
333 JABIL INC 146,019 3,186 0.02%
334 GILEAD SCIENCES INC 39,461 3,122 0.02%
335 STARBUCKS CORP 57,407 3,108 0.02%
336 HONEYWELL INTL INC 26,600 3,101 0.02%
337 CERNER CORP 50,000 3,088 0.02%
338 PHILIP MORRIS INTL INC 31,710 3,083 0.02%
339 ROYCE VALUE TR INC 239,151 3,028 0.02%
340 VERIFONE SYS INC 191,835 3,019 0.02%
341 SUNOPTA INC 426,000 3,008 0.02%
342 WELLS FARGO CO NEW 67,662 2,996 0.02%
343 TJX COS INC NEW 39,985 2,990 0.02%
344 REAVES UTIL INCOME FD 97,415 2,977 0.02%
345 FS KKR CAPITAL CORP COM 313,000 2,964 0.02%
346 INTEGRA LIFESCIENCES HLDGS CP COM NEW 35,700 2,947 0.02%
347 ALEXION PHARMACEUTICALS INC 24,000 2,941 0.02%
348 INTERNATIONAL BUSINESS MACHS 17,914 2,846 0.02%
349 SPDR SER TR 66,760 2,822 0.02%
350 DISNEY WALT CO 30,340 2,817 0.02%
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