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Institutional Investment Manager
BOKF, NA
BOKF, NA (CIK: 0000009634), located at One Williams Center, Tulsa, OK. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Original 13F HR (0000009634-15-000004) filed in 2015.05.14
#
Name
Shares
Value ($)
%
Options
Notes
1501 ISHARES TR 149,504 10,476 0.35%
1502 SCHLUMBERGER LTD 150,179 12,531 0.42%
1503 ISHARES TR 150,414 18,707 0.63%
1504 SPDR SER TR 154,823 12,107 0.41%
1505 E M C CORP MASS COM 160,481 4,102 0.14%
1506 KINDER MORGAN INC DEL 165,753 6,972 0.23%
1507 OUTFRONT MEDIA INC 167,302 5,006 0.17%
1508 ON SEMICONDUCTOR CORP 170,649 2,067 0.07%
1509 VANGUARD INTL EQUITY INDEX F 175,640 7,178 0.24%
1510 JOHNSON & JOHNSON 183,018 18,412 0.62%
1511 COMCAST CORP NEW 183,708 10,374 0.35%
1512 ISHARES TR 186,183 21,216 0.71%
1513 KNOLL INC 188,016 4,405 0.15%
1514 COCA COLA CO 188,052 7,626 0.26%
1515 PROCTER AND GAMBLE CO 192,685 15,788 0.53%
1516 WILLIAMS COS INC DEL 193,580 9,793 0.33%
1517 SOLARWINDS INC 193,874 9,934 0.33%
1518 ISHARES TR 205,085 42,623 1.43%
1519 JPMORGAN CHASE & CO 208,260 12,617 0.42%
1520 VERIZON COMMUNICATIONS INC 216,187 10,513 0.35%
1521 VANGUARD INDEX FDS 216,498 18,253 0.61%
1522 US BANCORP DEL 216,626 9,460 0.32%
1523 ISHARES TR 226,598 38,864 1.31%
1524 ISHARES TR 227,609 29,805 1.00%
1525 ALTRIA GROUP INC 229,923 11,501 0.39%
1526 BRISTOL MYERS SQUIBB CO 232,531 14,999 0.50%
1527 ISHARES TR 240,569 23,797 0.80%
1528 ONEOK INC NEW 262,665 12,671 0.43%
1529 GENERAL ELECTRIC CO 265,542 6,588 0.22%
1530 INTEL CORP 266,882 8,345 0.28%
1531 ISHARES GOLD TRUST 271,249 3,106 0.10%
1532 BANK AMER CORP 279,997 4,309 0.15%
1533 PFIZER INC 286,718 9,975 0.34%
1534 CORNING INC 294,034 6,669 0.22%
1535 MERCK & CO INC 304,793 17,520 0.59%
1536 WELLS FARGO & CO NEW 307,867 16,748 0.56%
1537 ISHARES TR 308,548 19,800 0.67%
1538 AT&T INC 311,198 10,160 0.34%
1539 ISHARES TR 312,524 23,521 0.79%
1540 CISCO SYS INC 320,728 8,828 0.30%
1541 ISHARES TR 336,899 26,258 0.88%
1542 ISHARES TR 375,659 57,093 1.92%
1543 APPLE INC 379,959 47,279 1.59%
1544 ISHARES TR 387,932 15,568 0.52%
1545 VANGUARD TAX-MANAGED FDS 395,613 15,757 0.53%
1546 FORD MTR CO DEL 396,872 6,405 0.22%
1547 FNB CORP PA 409,014 5,374 0.18%
1548 MICROSOFT CORP 479,981 19,514 0.66%
1549 AEGON N V 514,226 4,078 0.14%
1550 Laredo Petroleum Inc 561,531 7,322 0.25%
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