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Institutional Investment Manager
GUARDIAN LIFE INSURANCE CO OF AMERICA
GUARDIAN LIFE INSURANCE CO OF AMERICA (CIK: 0000901849) incorporated in New York, located at 10 Hudson Yards, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0000950123-16-016917) filed in 2016.05.12
#
Name
Shares
Value ($)
%
Options
Notes
1 ISHARES IBOXX $ HIGH YIELD CORPORATE BOND ETF 1,760,000 143,774 12.63%
2 ISHARES TR 209,793 34,179 3.00%
3 ISHARES TR 509,838 29,127 2.56%
4 ISHARES TR 234,598 25,951 2.28%
5 SPDR GOLD TR 214,343 25,207 2.21%
6 POWERSHS DB MULTI SECT COMM 1,092,224 22,500 1.98%
7 NEXTERA ENERGY INCORPORATED UNIT CORP 310,000 18,634 1.64%
8 Anthem Inc 395,000 18,447 1.62%
9 Dominion Resources Inc/VA 285,000 14,441 1.27%
10 ISHARES TR 393,752 13,486 1.18%
11 EQUINIX INC 40,423 13,368 1.17%
12 FRONTIER COMMUNICATIONS CORPORTION PFD CONV SER-A 115,000 11,989 1.05%
13 ALEXANDRIA REAL ESTATE EQ IN 390,000 11,408 1.00%
14 ALLERGAN PLC 12,000 11,010 0.97%
15 ISHARES SILVER TR 746,232 10,955 0.96%
16 ISHARES TR 104,566 10,332 0.91%
17 NEW YORK CMNTY CAP TR V BIFURCATED OPT NT UNIT SECS BONUSES 175,000 8,684 0.76%
18 KeyCorp NEW 58,400 7,603 0.67%
19 FITBIT INC 500,433 7,582 0.67%
20 IRIDIUM COMMUNICATIONS INC 24,000 7,036 0.62%
21 POWERSHS DB MULTI SECT COMM 893,367 6,941 0.61%
22 ISHARES TR 74,332 5,272 0.46%
23 ISHARES RUSSELL 2000 VALUE ETF 42,358 3,948 0.35%
24 POWERSHS DB MULTI SECT COMM 366,037 3,821 0.34%
25 UNITED STATES NATL GAS FUND 489,553 3,260 0.29%
26 APPLE INC 20,621 2,247 0.20%
27 MICROSOFT CORP 29,544 1,632 0.14%
28 EXXON MOBIL CORP 15,397 1,287 0.11%
29 GENERAL ELECTRIC CO 34,907 1,110 0.10%
30 JOHNSON & JOHNSON 10,234 1,107 0.10%
31 BERKSHIRE HATHAWAY INC DEL 6,930 983 0.09%
32 FACEBOOK INC 8,398 958 0.08%
33 AT&T INC 22,754 891 0.08%
34 UNITED STS 12 MONTH OIL FD L 54,475 888 0.08%
35 AMAZON COM INC 1,422 844 0.07%
36 WELLS FARGO & CO NEW 17,192 831 0.07%
37 PROCTER AND GAMBLE CO 10,063 828 0.07%
38 ALPHABET INC 1,078 822 0.07%
39 ALPHABET INC 1,099 819 0.07%
40 VERIZON COMMUNICATIONS INC 15,049 814 0.07%
41 JPMORGAN CHASE & CO 13,615 806 0.07%
42 IDERA PHARMACEUTICALS INCORPORATED COM NEW 371,759 736 0.06%
43 PFIZER INC 22,832 677 0.06%
44 COCA COLA CO 14,477 672 0.06%
45 CHEVRON CORP NEW 6,961 664 0.06%
46 HOME DEPOT INC 4,690 626 0.05%
47 INTEL CORP 17,454 565 0.05%
48 PHILIP MORRIS INTL INC 5,731 562 0.05%
49 DISNEY WALT CO 5,626 559 0.05%
50 COMCAST CORP NEW 9,032 552 0.05%
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