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Institutional Investment Manager
PINNACLE ASSOCIATES LTD
PINNACLE ASSOCIATES LTD (CIK: 0000743127) incorporated in New York, located at 335 Madison Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 613 holdings with a total value of $5,122,964,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 WELLS FARGO & CO NEW 229,294 12,052,000 0.24%
102 VIACOM INC NEW 138,682 12,028,000 0.23%
103 BRISTOL MYERS SQUIBB CO 245,728 11,920,000 0.23%
104 ARRAY BIOPHARMA INC 2,599,933 11,856,000 0.23%
105 LUMEN TECHNOLOGIES INC 319,286 11,558,000 0.23%
106 CHEVRON CORP NEW 88,384 11,539,000 0.23%
107 EQUITY RESIDENTIAL 180,315 11,360,000 0.22%
108 CISCO SYS INC 451,831 11,228,000 0.22%
109 KIMBERLY CLARK CORP 100,018 11,124,000 0.22%
110 FAIRWAY GROUP HLDGS CORP 1,652,225 10,987,000 0.21%
111 NEXTERA ENERGY INC 107,017 10,967,000 0.21%
112 PHILIP MORRIS INTL INC 128,569 10,840,000 0.21%
113 PIMCO 0-5 YEAR HIGH YIELD CORP 101,092 10,804,000 0.21%
114 COMCAST CORP NEW 200,952 10,787,000 0.21%
115 CATERPILLAR INC 97,132 10,555,000 0.21%
116 MGM RESORTS INTERNATIONAL 397,500 10,494,000 0.20%
117 CBS CORP NEW 168,098 10,446,000 0.20%
118 SPDR Barclays Capital Conv S 206,663 10,436,000 0.20%
119 AMERICAN EXPRESS CO 109,947 10,431,000 0.20%
120 BANK AMER CORP 668,351 10,273,000 0.20%
121 Intl Game Technology 642,229 10,218,000 0.20%
122 ALPS ETF TR 535,067 10,166,000 0.20%
123 IRIDIUM COMMUNICATIONS INC 1,198,700 10,141,000 0.20%
124 DEVON ENERGY CORP NEW 126,871 10,074,000 0.20%
125 IMMUNOGEN INC 837,357 9,923,000 0.19%
126 FORD MTR CO DEL 565,827 9,755,000 0.19%
127 AMGEN INC 81,888 9,693,000 0.19%
128 MALLINCKRODT PUB LTD CO 118,750 9,502,000 0.19%
129 MACYS INC 160,327 9,302,000 0.18%
130 KAYNE ANDERSON MLP INVT CO 235,772 9,292,000 0.18%
131 HONEYWELL INTL INC 99,141 9,215,000 0.18%
132 VANGUARD SCOTTSDALE FDS 114,331 9,189,000 0.18%
133 COCA COLA CO 214,099 9,069,000 0.18%
134 ALTRIA GROUP INC 214,935 9,014,000 0.18%
135 ABBVIE INC 157,994 8,917,000 0.17%
136 DR PEPPER SNAPPLE GROUP INC 150,188 8,798,000 0.17%
137 PEPSICO INC 97,561 8,716,000 0.17%
138 ISHARES TR 43,335 8,537,000 0.17%
139 CAMERON INTERNATIONAL COMPANY 122,364 8,285,000 0.16%
140 DANA INCORPORATED 338,460 8,265,000 0.16%
141 GOLDMAN SACHS GROUP INC 48,647 8,145,000 0.16%
142 MORGAN STANLEY 244,762 7,913,000 0.15%
143 Medtronic Inc 122,240 7,794,000 0.15%
144 CANADIAN NATL RY CO 118,030 7,674,000 0.15%
145 PNC FINL SVCS GROUP INC 86,018 7,660,000 0.15%
146 CF INDS HLDGS INC 31,063 7,472,000 0.15%
147 BLACKROCK INC 23,289 7,443,000 0.15%
148 3M CO 51,669 7,401,000 0.14%
149 VANGUARD INDEX FDS 80,775 7,271,000 0.14%
150 BAXTER INTL INC 99,895 7,222,000 0.14%
Page 3 of 13

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000919574-14-004429, filed 2014.08.14).

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.