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Institutional Investment Manager
BlackRock Fund Advisors
BlackRock Fund Advisors (CIK: 0001006249) incorporated in Delaware, located at 400 Howard Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Original 13F HR (0001086364-15-002210) filed in 2015.11.13
#
Name
Shares
Value ($)
%
Options
Notes
3851 OCCIDENTAL PETE CORP DEL 13,693,657 905,835 0.23%
3852 UNITED PARCEL SERVICE INC 9,615,657 948,969 0.25%
3853 CONOCOPHILLIPS 19,995,342 958,977 0.25%
3854 BOEING CO 7,587,961 993,643 0.26%
3855 NIKE INC 8,181,312 1,006,056 0.26%
3856 STARBUCKS CORP 18,528,941 1,053,185 0.27%
3857 3M CO 7,457,669 1,057,274 0.27%
3858 REGENERON PHARMACEUTICALS 2,286,976 1,063,764 0.28%
3859 ABBVIE INC 19,673,521 1,070,436 0.28%
3860 MASTERCARD INCORPORATED 12,264,007 1,105,232 0.29%
3861 QUALCOMM INC 21,599,053 1,160,517 0.30%
3862 SCHLUMBERGER LTD 16,927,435 1,167,485 0.30%
3863 WAL-MART STORES INC 18,106,069 1,173,998 0.30%
3864 LOCKHEED MARTIN CORP 5,799,910 1,202,379 0.31%
3865 SIMON PPTY GROUP INC NEW 6,609,497 1,214,297 0.31%
3866 CVS HEALTH CORP 12,795,675 1,234,527 0.32%
3867 MEDTRONIC PLC 18,654,462 1,248,730 0.32%
3868 COMCAST CORP NEW 23,296,389 1,325,099 0.34%
3869 ALLERGAN PLC 4,875,394 1,325,181 0.34%
3870 LILLY ELI & CO 15,979,583 1,337,331 0.35%
3871 BRISTOL MYERS SQUIBB CO 23,728,415 1,404,722 0.36%
3872 ORACLE CORP 39,200,200 1,415,911 0.37%
3873 UNITEDHEALTH GROUP INC 13,158,514 1,526,519 0.40%
3874 MCDONALDS CORP 15,674,819 1,544,440 0.40%
3875 ALTRIA GROUP INC 28,479,497 1,549,285 0.40%
3876 BIOGEN INC 5,348,252 1,560,673 0.40%
3877 ISHARES 63,594,333 1,573,324 0.41%
3878 CITIGROUP INC 33,114,749 1,642,823 0.43%
3879 PEPSICO INC 17,509,022 1,651,101 0.43%
3880 INTERNATIONAL BUSINESS MACHS 11,553,531 1,674,915 0.43%
3881 CISCO SYS INC 65,082,560 1,708,417 0.44%
3882 CELGENE CORP 15,859,983 1,715,574 0.44%
3883 ISHARES 50,171,034 1,722,873 0.45%
3884 VISA INC 24,758,301 1,724,663 0.45%
3885 BANK AMER CORP 111,814,748 1,742,074 0.45%
3886 DISNEY WALT CO 17,642,985 1,803,113 0.47%
3887 PHILIP MORRIS INTL INC 22,949,221 1,820,562 0.47%
3888 HOME DEPOT INC 15,846,049 1,830,060 0.47%
3889 INTEL CORP 64,046,895 1,930,373 0.50%
3890 AMGEN INC 14,071,203 1,946,329 0.50%
3891 MERCK & CO INC 41,281,672 2,038,902 0.53%
3892 COCA COLA CO 51,119,803 2,050,926 0.53%
3893 GOOGLE INC 3,578,857 2,177,448 0.56%
3894 AMAZON COM INC 4,339,861 2,221,531 0.58%
3895 VERIZON COMMUNICATIONS INC 51,905,017 2,258,387 0.58%
3896 ISHARES NASDAQ BIOTECHNOLOGY ETF 3,562,989 2,274,505 0.59%
3897 CHEVRON CORP NEW 29,953,756 2,362,752 0.61%
3898 PROCTER AND GAMBLE CO 33,521,708 2,411,552 0.62%
3899 FACEBOOK INC 27,056,743 2,432,401 0.63%
3900 JPMORGAN CHASE & CO 40,546,627 2,472,128 0.64%
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