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Institutional Investment Manager
TOCQUEVILLE ASSET MANAGEMENT L.P.
TOCQUEVILLE ASSET MANAGEMENT L.P. (CIK: 0000883961) incorporated in Delaware, located at 40 West 57th Street, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001140361-15-003290) filed in 2015.01.30
#
Name
Shares
Value ($)
%
Options
Notes
601 NATIONAL OILWELL VARCO INC 55,562 3,641 0.04%
602 Magnum Hunter Resources 8% Ser 108,485 3,682 0.04%
603 INSPERITY INC 108,686 3,683 0.04%
604 INDIA FD INC 144,971 3,742 0.04%
605 OMEGA HEALTHCARE INVESTORS 95,918 3,748 0.04%
606 CATERPILLAR INC DEL 41,288 3,779 0.04%
607 CONOCOPHILLIPS 54,993 3,798 0.04%
608 PTC INC 103,907 3,808 0.04%
609 FINANCIAL SELECT SECTOR SPDR 154,448 3,819 0.04%
610 Umpqua Holdings Corp 225,514 3,836 0.04%
611 MATERION CORP 109,906 3,872 0.04%
612 ROSS STORES INC 41,221 3,885 0.04%
613 BB&T 100,039 3,891 0.04%
614 BP PLC 102,105 3,892 0.04%
615 TESLA INC 17,510 3,894 0.04%
616 FINISH LINE INC -CL A 161,800 3,933 0.04%
617 EDWARDS LIFESCIENCES CORP 31,095 3,961 0.04%
618 EOG RESOURCES INC 43,617 4,016 0.04%
619 HALYARD HEALTH INC 88,956 4,045 0.04%
620 Rockwood Services Corp. (RESTR 751 4,055 0.04%
621 PRECISION CASTPARTS 16,968 4,087 0.04%
622 DOLLAR GEN CORP NEW 58,400 4,129 0.04%
623 HOSPITALITY PROPERTIES REIT 134,325 4,164 0.04%
624 Hitachi Ltd ADR 56,000 4,175 0.04%
625 DYCOM INDUSTRIES INC 119,500 4,193 0.05%
626 MEDIVATION INC 42,115 4,195 0.05%
627 BANCO SANTANDER SA 510,525 4,253 0.05%
628 DOW CHEMICAL COM 93,826 4,279 0.05%
629 NESTLE SA ADR 58,930 4,299 0.05%
630 RAYTHEON CO 39,850 4,311 0.05%
631 WESTERN GAS PARTNERS LP 59,125 4,319 0.05%
632 SPROTT PHYSICAL GOLD TRUST 444,370 4,341 0.05%
633 EMERSON ELEC CO 70,515 4,353 0.05%
634 Sogefi S.p.A. 1,737,400 4,356 0.05%
635 Signature Group Holdings Inc 609,970 4,361 0.05%
636 COVANCE INC 42,000 4,361 0.05%
637 RPX CORP 316,600 4,363 0.05%
638 KFORCE INC 182,790 4,411 0.05%
639 ROPER TECHNOLOGIES INC COM 28,402 4,441 0.05%
640 ALLSTATE CORP COMM 63,743 4,478 0.05%
641 Hanger Inc 205,155 4,493 0.05%
642 SPLUNK INC 76,470 4,508 0.05%
643 APOLLO ED GROUP INC 132,217 4,510 0.05%
644 EATON CORP PLC 66,631 4,528 0.05%
645 BANK OF THE OZARKS INC 119,800 4,543 0.05%
646 PANDORA MEDIA INC 256,776 4,578 0.05%
647 PRINCIPAL FINL GROUP-CALLABLE 46,495 4,650 0.05%
648 HALLIBURTON CO 119,285 4,691 0.05%
649 BROOKS AUTOMATION INC 370,400 4,723 0.05%
650 DirectTV Com 55,189 4,785 0.05%
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