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Institutional Investment Manager
BADGLEY PHELPS & BELL INC
BADGLEY PHELPS & BELL INC (CIK: 0000915325) incorporated in Washington, located at 1420 Fifth Ave, Seattle, WA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0000915325-17-000002) filed in 2017.02.07
#
Name
Shares
Value ($)
%
Options
Notes
51 FACEBOOK INC 141,185 16,243 1.41%
52 FEDEX CORP 56,001 10,427 0.90%
53 FIDELITY NATL INFORMATION SV 174,110 13,170 1.14%
54 FORD MTR CO DEL 42,038 510 0.04%
55 FORTIVE CORP 67,708 3,631 0.32%
56 GENERAL DYNAMICS CORP 43,385 7,491 0.65%
57 GENERAL ELECTRIC CO 386,218 12,204 1.06%
58 GENERAL MLS INC 120,770 7,460 0.65%
59 GILEAD SCIENCES INC 99,641 7,135 0.62%
60 GILEAD SCIENCES INC 95,000 6,803 0.59%
61 HALLIBURTON CO 184,728 9,992 0.87%
62 HERITAGE FINL CORP WASH COM 14,247 367 0.03%
63 HEWLETT PACKARD ENTERPRISE C 382,844 8,859 0.77%
64 HOME DEPOT INC 93,324 12,513 1.09%
65 HONEYWELL INTL INC 92,871 10,759 0.93%
66 INTEL CORP 16,174 587 0.05%
67 ISHARES INC 178,045 7,045 0.61%
68 ISHARES MSCI ACWI EX US IDX FD 47,393 1,909 0.17%
69 ISHARES RUSSELL 1000 ETF 24,833 3,091 0.27%
70 ISHARES RUSSELL 1000 ETF 5,590 696 0.06%
71 ISHARES RUSSELL 2000 GROWTH ETF 50,958 7,844 0.68%
72 ISHARES RUSSELL 2000 VALUE ETF 69,047 8,212 0.71%
73 ISHARES TR 7,281 824 0.07%
74 ISHARES TR 13,678 1,478 0.13%
75 ISHARES TR 27,632 3,035 0.26%
76 ISHARES TR 107,844 11,313 0.98%
77 ISHARES TR 96,041 10,759 0.93%
78 ISHARES TR 249,648 41,277 3.58%
79 ISHARES TR 28,781 3,881 0.34%
80 ISHARES TR 92,009 8,961 0.78%
81 ISHARES TR 22,695 4,059 0.35%
82 ISHARES TR 12,100 973 0.08%
83 ISHARES TR 81,094 12,164 1.06%
84 ISHARES TR 1,166,365 67,334 5.84%
85 ISHARES TR 2,268 510 0.04%
86 ISHARES TR 98,307 12,044 1.05%
87 ISHARES TR 58,220 3,122 0.27%
88 ISHARES TR 188,072 9,646 0.84%
89 ISHARES TR 87,618 4,305 0.37%
90 ISHARES TR 33,864 4,657 0.40%
91 ISHARES TR 156,835 7,956 0.69%
92 JOHNSON & JOHNSON 116,914 13,470 1.17%
93 JPMORGAN CHASE & CO 197,193 17,016 1.48%
94 LAM RESEARCH CORP 80,111 8,470 0.73%
95 MARRIOTT INTL INC NEW 115,836 9,577 0.83%
96 MARSH & MCLENNAN COS INC 139,550 9,432 0.82%
97 MCDONALDS CORP 2,711 330 0.03%
98 MEDTRONIC PLC 78,961 5,624 0.49%
99 MERCK & CO INC 6,550 386 0.03%
100 METLIFE INC 190,016 10,240 0.89%
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