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Institutional Investment Manager
MOODY LYNN & LIEBERSON, LLC
MOODY LYNN & LIEBERSON, LLC (CIK: 0000938592), located at One Boston Place, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 152 holdings with a total value of $558,213,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 BLACKROCK INC 8,272 2,833,000 0.51%
102 NEWELL BRANDS 61,584 2,991,000 0.54%
103 FEDEX CORP 20,723 3,145,000 0.56%
104 3M CO 18,232 3,193,000 0.57%
105 BLACKSTONE MTG TR INC 117,178 3,242,000 0.58%
106 MARATHON OIL CORP 246,570 3,701,000 0.66%
107 UNITED PARCEL SERVICE INC 36,191 3,898,000 0.70%
108 ALPS ETF TR 316,490 4,026,000 0.72%
109 CELGENE CORP 44,981 4,436,000 0.79%
110 FISERV INC 41,815 4,547,000 0.81%
111 WHITEWAVE FOODS CO 102,232 4,799,000 0.86%
112 DENTSPLY SIRONA INC 79,706 4,945,000 0.89%
113 LAUDER ESTEE COS INC 57,368 5,222,000 0.94%
114 ADOBE INC 55,035 5,272,000 0.94%
115 COCA COLA CO 116,947 5,301,000 0.95%
116 WISDOMTREE TR 282,361 5,701,000 1.02%
117 AT&T INC 132,936 5,744,000 1.03%
118 DISNEY WALT CO 60,506 5,919,000 1.06%
119 INTUIT 53,970 6,024,000 1.08%
120 NORTHROP GRUMMAN CORP 28,414 6,316,000 1.13%
121 AMERICAN TOWER CORP NEW 56,711 6,443,000 1.15%
122 PHILLIPS 66 83,890 6,656,000 1.19%
123 BOSTON SCIENTIFIC CORP 302,790 7,076,000 1.27%
124 OCCIDENTAL PETE CORP DEL 96,024 7,256,000 1.30%
125 UNION PAC CORP 87,012 7,592,000 1.36%
126 TRAVELERS COMPANIES INC 65,918 7,847,000 1.41%
127 WALGREENS BOOTS ALLIANCE INC 97,816 8,145,000 1.46%
128 PFIZER INC 236,818 8,338,000 1.49%
129 MEDTRONIC PLC 98,241 8,524,000 1.53%
130 WELLS FARGO & CO NEW 181,716 8,601,000 1.54%
131 GENERAL ELECTRIC CO 277,000 8,720,000 1.56%
132 AIR PRODS & CHEMS INC 63,951 9,084,000 1.63%
133 UNITED TECHNOLOGIES CORP 88,613 9,087,000 1.63%
134 VISA INC 125,748 9,327,000 1.67%
135 THERMO FISHER SCIENTIFIC INC 63,982 9,454,000 1.69%
136 MICROSOFT CORP 202,380 10,356,000 1.86%
137 MASTERCARD INCORPORATED 120,096 10,576,000 1.89%
138 SYSCO CORP 212,158 10,765,000 1.93%
139 SPDR S&P 500 ETF TR 51,741 10,838,000 1.94%
140 HOME DEPOT INC 95,195 12,155,000 2.18%
141 GENUINE PARTS CO 135,274 13,696,000 2.45%
142 ALPHABET INC 20,219 14,225,000 2.55%
143 AMAZON COM INC 21,065 15,075,000 2.70%
144 EXXON MOBIL CORP 173,470 16,261,000 2.91%
145 LOCKHEED MARTIN CORP 66,793 16,576,000 2.97%
146 JOHNSON & JOHNSON 138,115 16,753,000 3.00%
147 VERIZON COMMUNICATIONS INC 303,293 16,936,000 3.03%
148 CHEVRON CORP NEW 181,581 19,035,000 3.41%
149 RAYTHEON CO 141,203 19,197,000 3.44%
150 FACEBOOK INC 169,692 19,392,000 3.47%
Page 3 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000938592-16-000009, filed 2016.07.29).

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.