Dark
Light
System
Institutional Investment Manager
M&T BANK CORP
M&T BANK CORP (CIK: 0000036270) incorporated in New York, registered under State Commercial Banks, located at C/O Legal, Buffalo, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Original 13F HR (0000950123-16-014428) filed in 2016.02.12
#
Name
Shares
Value ($)
%
Options
Notes
551 Pfizer Incorporated 164,331 5,305 0.04%
552 Du Pont Ei De Nemour 79,563 5,299 0.04%
553 ISHARES S&P 32,912 5,298 0.04%
554 Colgate-Palmolive Co 79,223 5,278 0.04%
555 SPDR Dow Jones REIT ETF 57,445 5,264 0.03%
556 Comcast Corporation 93,288 5,264 0.03%
557 WASTE MANAGEMENT 98,373 5,250 0.03%
558 Celgene Corp 43,366 5,194 0.03%
559 LOWES COMPANIES 68,244 5,189 0.03%
560 Microsoft Corp 92,766 5,147 0.03%
561 Kimberly-Clark Corp 40,426 5,146 0.03%
562 VANGUARD INFORMATION 47,474 5,141 0.03%
563 BRISTOL MYERS 74,655 5,136 0.03%
564 Oracle Corporation 140,560 5,135 0.03%
565 Abbott Laboratories 113,979 5,119 0.03%
566 General Mills Inc 88,639 5,111 0.03%
567 Fulton Finl Corp PA 392,282 5,104 0.03%
568 MAGELLAN MIDSTREAM 75,086 5,100 0.03%
569 U S Bancorp 119,513 5,100 0.03%
570 SPDR DOW 29,268 5,092 0.03%
571 Celgene Corp 42,494 5,089 0.03%
572 SPDR S&P Midcap 400 ETF 19,999 5,081 0.03%
573 Visa Inc 65,397 5,072 0.03%
574 iShares MSCI EAFE ETF 86,252 5,065 0.03%
575 ISHARES MSCI 100,479 5,019 0.03%
576 NOVARTIS AG 58,262 5,013 0.03%
577 Vanguard S&P 500 ETF 26,808 5,011 0.03%
578 Alphabet Inc CL C 6,561 4,979 0.03%
579 EQUITY RESIDENTIAL 61,022 4,979 0.03%
580 DOMINION RESOURCES 73,416 4,966 0.03%
581 AETNA INC 45,930 4,966 0.03%
582 EATON CORP 95,361 4,963 0.03%
583 APPLIED MATERIALS 265,680 4,960 0.03%
584 DOW CHEMICAL 95,792 4,931 0.03%
585 Wells Fargo & Co 90,568 4,923 0.03%
586 General Mills Inc 84,878 4,894 0.03%
587 Home Depot Inc 36,845 4,873 0.03%
588 Apple Inc 46,257 4,869 0.03%
589 Visa Inc 62,730 4,865 0.03%
590 Wal-Mart Stores Inc 79,355 4,864 0.03%
591 A T & T Inc 141,300 4,862 0.03%
592 VANGUARD INFORMATION 44,782 4,849 0.03%
593 Eli Lilly & Company 57,493 4,844 0.03%
594 Medtronic PLC F 62,839 4,834 0.03%
595 BIOGEN INC 15,455 4,735 0.03%
596 Johnson & Johnson 46,073 4,733 0.03%
597 BB&T CORP 124,703 4,715 0.03%
598 Qualcomm Inc 94,067 4,702 0.03%
599 ABERCROMBIE AND FITCH CO CL A 174,055 4,699 0.03%
600 Emerson Electric Co 98,035 4,689 0.03%
Page 12 of 211