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Institutional Investment Manager
US BANCORP \DE\
US BANCORP \DE\ (CIK: 0000036104) incorporated in Delaware, registered under National Commercial Banks, located at U.S. Bancorp, Minneapolis, MN. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000036104-14-000015) filed in 2014.05.14
#
Name
Shares
Value ($)
%
Options
Notes
5551 ISHARES TR 359,343 39,578 0.16%
5552 ALTRIA GROUP INC 1,065,706 39,889 0.16%
5553 MEDTRONIC INC 650,334 40,021 0.16%
5554 DISNEY WALT CO 503,977 40,354 0.17%
5555 BERKSHIRE HATHAWAY INC DEL 325,255 40,647 0.17%
5556 VISA INC 188,407 40,670 0.17%
5557 ISHARES TR 366,424 40,827 0.17%
5558 CUMMINS INC 278,585 41,507 0.17%
5559 APACHE CORP 503,241 41,744 0.17%
5560 UNION PAC CORP 225,156 42,253 0.17%
5561 CONOCOPHILLIPS 605,007 42,562 0.17%
5562 Agnico Eagle 1,563,840 42,865 0.18%
5563 PRAXAIR INC 333,949 43,738 0.18%
5564 OCCIDENTAL PETE CORP DEL 462,584 44,079 0.18%
5565 ISHARES TR 384,483 44,731 0.18%
5566 UNION PAC CORP 238,593 44,774 0.18%
5567 CATERPILLAR INC 453,251 45,027 0.18%
5568 BANK AMER CORP 2,626,252 45,151 0.19%
5569 ISHARES TR 673,886 45,602 0.19%
5570 AUTOMATIC DATA PROCESSING IN 591,434 45,695 0.19%
5571 COLGATE PALMOLIVE CO 717,398 46,537 0.19%
5572 MEDTRONIC INC 771,117 47,454 0.19%
5573 C H ROBINSON WORLDWIDE INC 905,905 47,461 0.19%
5574 UNITEDHEALTH GROUP INC 579,086 47,469 0.19%
5575 SPDR INDEX SHS FDS 1,153,411 47,486 0.19%
5576 EXPRESS SCRIPTS HLDG CO 638,487 47,944 0.20%
5577 BOEING CO 386,456 48,490 0.20%
5578 TRAVELERS COMPANIES INC 571,438 48,629 0.20%
5579 ACE LTD 494,471 48,977 0.20%
5580 ISHARES TR 438,125 49,113 0.20%
5581 ABBOTT LABS 1,277,906 49,212 0.20%
5582 AMERICAN EXPRESS CO 548,931 49,420 0.20%
5583 ISHARES TR 859,837 49,509 0.20%
5584 POWERSHARES QQQ TRUST 568,164 49,811 0.20%
5585 NIKE INC 685,546 50,635 0.21%
5586 ISHARES NASDAQ BIOTECHNOLOGY ETF 45,464 50,670 0.21%
5587 CISCO SYS INC 2,285,770 51,239 0.21%
5588 ECOLAB INC 475,746 51,376 0.21%
5589 GILEAD SCIENCES INC 737,783 52,270 0.21%
5590 MASTERCARD INCORPORATED 700,988 52,435 0.21%
5591 ISHARES TR 1,350,184 52,698 0.22%
5592 QUALCOMM INC 683,672 53,914 0.22%
5593 CVS HEALTH CORP 725,149 54,284 0.22%
5594 AMGEN INC 445,063 54,895 0.22%
5595 HOME DEPOT INC 694,742 54,975 0.23%
5596 WAL-MART STORES INC 723,981 55,334 0.23%
5597 LEGGETT &PLATT INC 1,733,252 56,573 0.23%
5598 ISHARES TR 596,720 57,583 0.24%
5599 INTEL CORP 2,254,958 58,210 0.24%
5600 TARGET CORP 978,968 59,237 0.24%
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