Dark
Light
System
Institutional Investment Manager
BRAUN STACEY ASSOCIATES INC
BRAUN STACEY ASSOCIATES INC (CIK: 0000872080), located at 377 Broadway, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000891092-14-003737) filed in 2014.05.08
#
Name
Shares
Value ($)
%
Options
Notes
201 NEXTERA ENERGY INC 159,165 15,219 0.89%
202 CBRE GROUP INC 556,620 15,268 0.89%
203 STERICYCLE INC 134,783 15,314 0.90%
204 MARATHON PETE CORP 176,785 15,387 0.90%
205 PAYCHEX INC 361,910 15,417 0.90%
206 GOLDMAN SACHS GROUP INC 94,113 15,420 0.90%
207 Chubb Corporation 173,038 15,452 0.90%
208 AMERICAN TOWER CORP NEW 189,378 15,504 0.91%
209 TRAVELERS COMPANIES INC 182,323 15,516 0.91%
210 OCEANEERING INTL INC 216,030 15,524 0.91%
211 MEADWESTVACO CORP 414,931 15,618 0.91%
212 TIME WARNER INC 240,695 15,725 0.92%
213 CHURCH & DWIGHT 231,490 15,989 0.94%
214 SANCHEZ ENERGY CORP COM 551,250 16,334 0.96%
215 LAM RESEARCH CORP 302,030 16,612 0.97%
216 KIMBERLY CLARK CORP 150,695 16,614 0.97%
217 FISERV INC 296,130 16,788 0.98%
218 CSX CORP 585,190 16,953 0.99%
219 COOPER COS INC 123,745 16,998 0.99%
220 VULCAN MATLS CO 261,240 17,359 1.02%
221 DANAHER CORP DEL 231,625 17,372 1.02%
222 OSHKOSH CORP 298,410 17,567 1.03%
223 METLIFE INC 335,419 17,710 1.04%
224 FRANKLIN RESOURCES INC 329,635 17,860 1.04%
225 US BANCORP DEL 417,172 17,880 1.05%
226 SIGNATURE BANK 144,133 18,102 1.06%
227 QUALCOMM INC 230,915 18,210 1.07%
228 Anthem, Inc. 183,235 18,241 1.07%
229 MONSANTO CO NEW 163,480 18,599 1.09%
230 ASPEN TECHNOLOGY INC 440,538 18,661 1.09%
231 Amphenol Corp. 205,728 18,855 1.10%
232 POLARIS INDS INC 135,922 18,990 1.11%
233 WELLS FARGO & CO NEW 390,033 19,400 1.13%
234 CITIGROUPINC 410,235 19,527 1.14%
235 TRINITY INDS INC 271,003 19,531 1.14%
236 ICON PLC 413,350 19,655 1.15%
237 MERCK & CO INC 348,083 19,761 1.16%
238 JOHNSON & JOHNSON 201,223 19,766 1.16%
239 HOME DEPOT INC 251,401 19,893 1.16%
240 BOEING CO 158,532 19,894 1.16%
241 ALLERGAN PLC 97,759 20,124 1.18%
242 PFIZER INC 633,612 20,352 1.19%
243 CHEVRON CORP NEW 172,086 20,463 1.20%
244 AMERICAN EXPRESS CO 231,710 20,861 1.22%
245 GENERAL ELECTRIC CO 810,708 20,989 1.23%
246 BLACKROCK INC 66,782 21,002 1.23%
247 INVENSENSE INC 901,770 21,345 1.25%
248 DISNEY WALT CO 269,727 21,597 1.26%
249 JARDEN CORP 362,106 21,665 1.27%
250 MASTERCARD INCORPORATED 290,795 21,722 1.27%
Page 5 of 6