Dark
Light
System
Institutional Investment Manager
QCI ASSET MANAGEMENT INC/NY
QCI ASSET MANAGEMENT INC/NY (CIK: 0000930441) incorporated in New York, located at 1040 Pittsford Victor Rd., Pittsford, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 593 holdings with a total value of $708,038,000.
#
Name
Shares
Value ($)
%
Options
Notes
551 CVS HEALTH CORP 104,970 10,050,000 1.42%
552 SPDR S&P 500 Fund 48,452 10,149,000 1.43%
553 WELLS FARGO & CO NEW 221,086 10,464,000 1.48%
554 Goldman Sachs Group Inc 73,243 10,882,000 1.54%
555 CATERPILLAR INC 143,575 10,884,000 1.54%
556 AbbVie Inc 179,916 11,139,000 1.57%
557 Facebook Inc Cl A 98,135 11,215,000 1.58%
558 PNC FINL SVCS GROUP INC 138,702 11,289,000 1.59%
559 ALPHABET INC. CLASS C 16,505 11,423,000 1.61%
560 BANK AMER CORP 879,613 11,672,000 1.65%
561 TJX COS INC NEW 151,630 11,710,000 1.65%
562 NUCOR CORP 237,946 11,757,000 1.66%
563 CISCO SYSTEMS INC 413,924 11,875,000 1.68%
564 MASTERCARD INCORPORATE 138,178 12,168,000 1.72%
565 ECOLAB INC 103,392 12,262,000 1.73%
566 AMGEN INC 85,243 12,970,000 1.83%
567 STARBUCKS CORP 230,554 13,169,000 1.86%
568 CHEVRON CORP NEW 126,481 13,259,000 1.87%
569 Chubb Limited 101,603 13,281,000 1.88%
570 MICROSOFT CORP 260,444 13,327,000 1.88%
571 UNITED PARCEL SERVICE INC 123,753 13,331,000 1.88%
572 UNDER ARMOUR INC 334,116 13,408,000 1.89%
573 VENTAS INC REIT 186,061 13,549,000 1.91%
574 SCHLUMBERGER LTD 172,758 13,662,000 1.93%
575 INTEL CORP 422,506 13,858,000 1.96%
576 BERKSHIRE HATHAWAY INC DEL 96,032 13,904,000 1.96%
577 Duke Energy Corp 162,868 13,972,000 1.97%
578 Spectra Energy Corp Com 382,269 14,003,000 1.98%
579 PROCTER AND GAMBLE CO 166,798 14,123,000 1.99%
580 LOWES COS INC 180,298 14,274,000 2.02%
581 SOUTHERN CO 269,645 14,461,000 2.04%
582 PEPSICO INC 141,612 15,002,000 2.12%
583 ZIMMER BIOMET HLDGS INC 125,143 15,065,000 2.13%
584 BRISTOL MYERS SQUIBB CO 205,054 15,082,000 2.13%
585 GENERAL ELECTRIC CO 501,511 15,788,000 2.23%
586 JPMorgan Chase & Co 258,510 16,064,000 2.27%
587 AMAZON COM INC 22,680 16,230,000 2.29%
588 Verizon Communications Inc 301,345 16,827,000 2.38%
589 ALTRIA GROUP INC 252,008 17,378,000 2.45%
590 JOHNSON & JOHNSON 148,886 18,060,000 2.55%
591 CORNING INC 980,515 20,081,000 2.84%
592 Exxon Mobil Corp 219,698 20,595,000 2.91%
593 APPLE INC 258,710 24,733,000 3.49%
Page 12 of 12

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000930441-16-000008, filed 2016.08.05).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.