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Institutional Investment Manager
BANK OF AMERICA CORP /DE/
BANK OF AMERICA CORP /DE/ (CIK: 0000070858) incorporated in Delaware, registered under National Commercial Banks, located at Bank Of America Corporate Center, Charlotte, NC. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001140361-16-076405) filed in 2016.08.15
#
Name
Shares
Value ($)
%
Options
Notes
401 QUALCOMM INC 10,288,801 551,171 0.13%
402 MEDTRONIC PLC 6,351,522 551,122 0.13%
403 SELECT SECTOR SPDR TR 9,836,608 550,948 0.13%
404 VANGUARD INDEX FDS 2,849,467 547,668 0.13%
405 HASBRO INC 6,519,747 547,594 0.13%
406 ISHARES TR 4,679,012 545,900 0.13%
407 KIMBERLY CLARK CORP 3,866,773 531,604 0.12%
408 QUALCOMM INC 9,910,164 530,887 0.12%
409 DOMINION ENERGY INC 6,764,553 527,162 0.12%
410 RAYTHEON CO 3,782,087 514,175 0.12%
411 ISHARES 7-10 YEAR TREASURY BOND ETF 4,525,000 511,109 0.12% Call
412 DISNEY WALT CO 5,223,592 510,972 0.12%
413 HONEYWELL INTL INC 4,379,842 509,463 0.12%
414 AT&T INC 11,749,071 507,677 0.12%
415 AMERICAN ELEC PWR INC 7,176,377 502,992 0.12%
416 ALPHABET INC 712,126 501,002 0.12%
417 SELECT SECTOR SPDR TR 21,901,177 500,551 0.12%
418 LILLY ELI & CO 6,353,006 500,299 0.12%
419 ISHARES 7-10 YEAR TREASURY BOND ETF 4,400,000 496,990 0.12% Put
420 COSTCO WHSL CORP NEW 3,161,599 496,497 0.12%
421 GENERAL MTRS CO 17,493,471 495,065 0.11%
422 ISHARES TR 5,796,610 494,335 0.11%
423 SELECT SECTOR SPDR TR 9,388,857 492,633 0.11%
424 O REILLY AUTOMOTIVE INC NEW 1,792,246 485,878 0.11%
425 CHEVRON CORP NEW 4,634,042 485,787 0.11%
426 ALPHABET INC 690,351 485,683 0.11%
427 DEUTSCHE BANK AG 35,242,455 483,879 0.11%
428 DIGITAL RLTY TR INC 4,430,665 482,898 0.11%
429 GENERAL ELECTRIC CO 15,143,939 476,731 0.11%
430 MEDTRONIC PLC 5,486,142 476,032 0.11%
431 FORD MTR CO DEL 37,841,828 475,672 0.11%
432 LILLY ELI & CO 6,026,391 474,578 0.11%
433 SPDR GOLD TR 3,751,041 474,394 0.11%
434 CA INC 14,448,367 474,340 0.11%
435 JOHNSON & JOHNSON 3,905,572 473,746 0.11%
436 UNION PAC CORP 5,407,556 471,809 0.11%
437 UNITED TECHNOLOGIES CORP 4,591,264 470,834 0.11%
438 POWERSHARES QQQ TRUST 4,377,216 470,726 0.11%
439 PACCAR INC 9,055,966 469,733 0.11%
440 UNITEDHEALTH GROUP INC 3,322,666 469,160 0.11%
441 VERIZON COMMUNICATIONS INC 8,395,518 468,806 0.11%
442 ISHARES TR 9,019,443 468,019 0.11%
443 CHUBB LIMITED 3,552,273 464,318 0.11%
444 ALPHABET INC 667,916 462,265 0.11%
445 SELECT SECTOR SPDR TR 20,204,355 461,771 0.11%
446 NEXTERA ENERGY INC 3,534,066 460,842 0.11%
447 ALPHABET INC 652,532 459,076 0.11%
448 ISHARES TR 9,926,276 458,693 0.11%
449 3M CO 2,618,840 458,611 0.11%
450 SELECT SECTOR SPDR TR 8,624,288 452,516 0.10%
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