Dark
Light
System
Institutional Investment Manager
SENTRY INVESTMENT MANAGEMENT LLC
SENTRY INVESTMENT MANAGEMENT LLC (CIK: 0000089014), located at 1800 N Point Dr, Stevens Point, WI. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Original 13F HR (0001140361-16-048157) filed in 2016.01.20
#
Name
Shares
Value ($)
%
Options
Notes
451 SCHLUMBERGER LTD 97,021 6,767 0.31%
452 STARBUCKS CORP 113,863 6,835 0.32%
453 BOEING CO 49,035 7,090 0.33%
454 BIOGEN INC 23,270 7,129 0.33%
455 3M CO 47,679 7,182 0.33%
456 MASTERCARD INCORPORATED 74,986 7,301 0.34%
457 CELGENE CORP 61,942 7,418 0.34%
458 WAL-MART STORES INC 122,371 7,501 0.35%
459 ABBVIE INC 128,478 7,611 0.35%
460 MEDTRONIC PLC 109,755 8,442 0.39%
461 CVS HEALTH CORP 86,466 8,454 0.39%
462 UNITEDHEALTH GROUP INC 72,339 8,510 0.39%
463 MCDONALDS CORP 72,214 8,531 0.39%
464 ALTRIA GROUP INC 152,842 8,897 0.41%
465 BRISTOL MYERS SQUIBB CO 129,437 8,904 0.41%
466 ORACLE CORP 248,523 9,079 0.42%
467 ALLERGAN PLC 30,588 9,559 0.44%
468 INTERNATIONAL BUSINESS MACHS 69,724 9,595 0.44%
469 CISCO SYS INC 394,864 10,723 0.50%
470 COMCAST CORP NEW 190,805 10,767 0.50%
471 AMGEN INC 69,751 11,323 0.52%
472 PEPSICO INC 114,066 11,397 0.53%
473 MERCK & CO INC 218,825 11,558 0.53%
474 VISA INC 151,557 11,753 0.54%
475 CITIGROUP INC 232,942 12,055 0.56%
476 DISNEY WALT CO 117,861 12,385 0.57%
477 PHILIP MORRIS INTL INC 141,608 12,449 0.57%
478 INTEL CORP 365,213 12,582 0.58%
479 COCA COLA CO 303,856 13,054 0.60%
480 HOME DEPOT INC 99,205 13,120 0.61%
481 CHEVRON CORP NEW 146,021 13,136 0.61%
482 GILEAD SCIENCES INC 130,633 13,219 0.61%
483 BANK AMER CORP 815,539 13,726 0.63%
484 VERIZON COMMUNICATIONS INC 314,260 14,525 0.67%
485 PFIZER INC 476,859 15,393 0.71%
486 AT&T INC 478,298 16,458 0.76%
487 PROCTER AND GAMBLE CO 210,368 16,705 0.77%
488 ALPHABET INC 22,928 17,400 0.80%
489 ALPHABET INC 22,441 17,459 0.81%
490 FACEBOOK INC 175,462 18,364 0.85%
491 JPMORGAN CHASE & CO 287,722 18,998 0.88%
492 WELLS FARGO CO NEW 363,405 19,755 0.91%
493 AMAZON COM INC 29,615 20,016 0.92%
494 BERKSHIRE HATHAWAY INC DEL 159,677 21,084 0.97%
495 GENERAL ELECTRIC CO 737,995 22,989 1.06%
496 JOHNSON & JOHNSON 233,726 24,008 1.11%
497 EXXON MOBIL CORP 347,840 27,114 1.25%
498 MICROSOFT CORP 621,097 34,458 1.59%
499 ISHARES TR 496,400 37,285 1.72%
500 ISHARES TR 384,700 38,178 1.76%
Page 10 of 11