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Institutional Investment Manager
STIFEL FINANCIAL CORP
STIFEL FINANCIAL CORP (CIK: 0000720672) incorporated in Delaware, registered under Security Brokers, Dealers & Flotation Companies, located at Attn: James G. Laschober, St. Louis, MO. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 2,382 holdings with a total value of $22,235,845,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 4,147,572 468,990,000 2.11%
2 SPDR S&P 500 ETF TR 1,975,810 427,351,000 1.92%
3 EXXON MOBIL CORP 3,741,102 326,495,000 1.47%
4 MICROSOFT CORP 5,585,985 321,836,000 1.45%
5 JOHNSON & JOHNSON 2,525,192 298,341,000 1.34%
6 CISCO SYS INC 8,552,192 271,304,000 1.22%
7 JPMORGAN CHASE & CO 3,920,365 261,137,000 1.17%
8 GENERAL ELECTRIC CO 7,746,178 229,544,000 1.03%
9 PFIZER INC 6,638,187 224,757,000 1.01%
10 VERIZON COMMUNICATIONS INC 4,293,006 222,972,000 1.00%
11 PROCTER AND GAMBLE CO 2,232,014 200,426,000 0.90%
12 MERCK & CO INC 3,189,357 198,916,000 0.89%
13 PEPSICO INC 1,776,709 193,331,000 0.87%
14 CHEVRON CORP NEW 1,807,358 186,073,000 0.84%
15 ALPHABET INC 230,727 185,424,000 0.83%
16 ABBVIE INC 2,880,482 181,650,000 0.82%
17 WELLS FARGO & CO NEW 3,968,914 175,749,000 0.79%
18 AT&T INC 4,268,686 173,146,000 0.78%
19 UNITEDHEALTH GROUP INC 1,186,991 166,385,000 0.75%
20 CVS HEALTH CORP 1,824,935 162,420,000 0.73%
21 COCA COLA CO 3,662,977 154,818,000 0.70%
22 ISHARES TR 2,726,053 150,294,000 0.68%
23 INTEL CORP 3,899,176 147,353,000 0.66%
24 HOME DEPOT INC 1,103,279 141,975,000 0.64%
25 BOEING CO 1,073,074 141,490,000 0.64%
26 QUALCOMM INC 1,919,409 131,508,000 0.59%
27 VISA INC 1,540,280 127,360,000 0.57%
28 TJX COS INC NEW 1,632,265 122,028,000 0.55%
29 CELGENE CORP 1,140,907 119,249,000 0.54%
30 VANGUARD INDEX FDS 595,011 118,364,000 0.53%
31 MCDONALDS CORP 1,006,133 115,857,000 0.52%
32 CHUBB LIMITED 916,471 115,388,000 0.52%
33 TARGET CORP 1,586,490 108,993,000 0.49%
34 VANGUARD SCOTTSDALE FDS 1,202,731 107,744,000 0.48%
35 PHILIP MORRIS INTL INC 1,092,090 106,092,000 0.48%
36 ISHARES TR 1,016,535 106,020,000 0.48%
37 VANGUARD BD INDEX FDS 1,299,729 105,060,000 0.47%
38 COSTCO WHSL CORP NEW 678,785 103,661,000 0.47%
39 UNITED TECHNOLOGIES CORP 1,013,077 102,940,000 0.46%
40 GENERAL MLS INC 1,609,090 102,744,000 0.46%
41 ISHARES TR 1,073,900 102,053,000 0.46%
42 ALPHABET INC 128,518 100,033,000 0.45%
43 DISNEY WALT CO 1,071,196 99,512,000 0.45%
44 AMERICAN WTR WKS CO INC NEW 1,288,402 96,400,000 0.43%
45 VANGUARD INTL EQUITY INDEX F 2,558,921 96,338,000 0.43%
46 ISHARES TR 750,470 94,974,000 0.43%
47 GILEAD SCIENCES INC 1,188,971 94,229,000 0.42%
48 US BANCORP DEL 2,178,823 93,462,000 0.42%
49 ISHARES TR 746,703 91,941,000 0.41%
50 DOW CHEM CO 1,735,842 89,881,000 0.40%
Page 1 of 48

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000720672-16-000165, filed 2016.11.15).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.