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Institutional Investment Manager
BlackRock Institutional Trust Company, N.A.
BlackRock Institutional Trust Company, N.A. (CIK: 0000913414) incorporated in California, located at 400 Howard Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0001086364-17-000008) filed in 2017.02.10
#
Name
Shares
Value ($)
%
Options
Notes
401 PLATINUM GROUP METALS LTD 352,504 504 0.00%
402 PHOENIX NEW MEDIA LTD 160,920 505 0.00%
403 HONDA MOTOR LTD 17,308 505 0.00%
404 CESCA THERAPEUTICS INC COM NEW 147,161 508 0.00%
405 COMMUNICATIONS SYS INC 109,771 508 0.00%
406 CHERRY HILL MTG INVT CORP 28,381 516 0.00%
407 ALPHATEC HOLDINGS INC 161,129 517 0.00%
408 CORVUS PHARMACEUTICALS INC COM 36,583 523 0.00%
409 TITAN PHARMACEUTICALS 131,115 524 0.00%
410 Echelon Corp 111,514 524 0.00%
411 GREEN PLAINS PARTNERS LP 26,619 527 0.00%
412 WORKHORSE GROUP INC 74,980 529 0.00%
413 ISORAY INC COM 918,266 533 0.00%
414 BIOSTAGE INC 601,207 535 0.00%
415 PRECISION DRILLING CORP 98,896 539 0.00%
416 SILICON MOTION TECHNOLOGY CO 12,718 540 0.00%
417 VEDANTA LTD 43,689 543 0.00%
418 ZHAOPIN LTD 36,675 554 0.00%
419 PALATIN TECHNOLOGIES INC 1,098,128 555 0.00%
420 VOLT INFORMATION SCIENCES IN 81,324 557 0.00%
421 ANTHERA PHARMACEUTICALS I 866,924 563 0.00%
422 HEMISPHERE MEDIA GROUP INC CL A 50,271 563 0.00%
423 Agile Therapeutics, Inc. 98,884 564 0.00%
424 Rex Energy Corp 1,197,737 564 0.00%
425 AMERISERV FINL INC 152,585 565 0.00%
426 FERRARI N V 9,760 567 0.00%
427 AVIRAGEN THERAPEUTICS INC 465,960 573 0.00%
428 IMATION CORP 704,359 578 0.00%
429 SELECTA BIOSCIENCES INC 33,739 579 0.00%
430 DIGIRAD CORP 116,054 580 0.00%
431 FONAR CORP 30,421 583 0.00%
432 ASURE SOFTWARE INC COM 68,511 583 0.00%
433 ALJ REGIONAL HOLDINGS INC 134,552 591 0.00%
434 FORWARD INDS INC N Y 476,459 596 0.00%
435 Eastern Virginia Bankshares Inc 57,193 598 0.00%
436 CONATUS PHARMACEUTICALS INC 113,913 600 0.00%
437 SYNERON MEDICAL LTD 72,145 606 0.00%
438 FORM HLDGS CORP COM 286,257 610 0.00%
439 FUEL TECH INCORPORATED 535,129 615 0.00%
440 MITEL NETWORKS CORP 91,765 624 0.00%
441 BLACK DIAMOND INC COM 117,097 626 0.00%
442 HANDY & HARMAN LTD 24,573 628 0.00%
443 TOWNSQUARE MEDIA INC CL A 60,473 630 0.00%
444 EVERBRIDGE INC 34,188 631 0.00%
445 RF INDS LTD 361,331 632 0.00%
446 Unique Fabricating 43,401 634 0.00%
447 DOVER MOTORSPORTS INC 276,125 635 0.00%
448 RENREN INCORPORATED SPONSORED ADR 404,669 643 0.00%
449 OHR PHARMACEUTICAL INC 429,498 644 0.00%
450 MEI PHARMA INC 448,639 646 0.00%
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