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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 (2016Q4)
Original 13F HR (0001086364-17-000006) filed in 2017.02.10
#
Name
Shares
Value ($)
%
Options
Notes
4201 ALIBABA GROUP HLDG LTD 15,724,534 1,380,771 0.25%
4202 UNITED PARCEL SERVICE INC 12,060,615 1,382,629 0.25%
4203 ABBVIE INC 22,184,702 1,389,206 0.26%
4204 LILLY ELI & CO 19,053,029 1,401,350 0.26%
4205 BOEING CO 9,259,623 1,441,538 0.27%
4206 BRISTOL MYERS SQUIBB CO 25,035,963 1,463,102 0.27%
4207 BIOGEN INC 5,298,451 1,502,535 0.28%
4208 MASTERCARD INCORPORATED 14,680,915 1,515,804 0.28%
4209 QUALCOMM INC 23,918,046 1,559,457 0.29%
4210 MEDTRONIC PLC 21,979,240 1,565,581 0.29%
4211 3M CO 8,917,379 1,592,376 0.29%
4212 WAL-MART STORES INC 23,614,578 1,632,240 0.30%
4213 ORACLE CORP 43,999,664 1,691,787 0.31%
4214 LOCKHEED MARTIN CORP 7,083,994 1,770,573 0.33%
4215 SCHLUMBERGER LTD 21,768,492 1,827,465 0.34%
4216 ISHARES TR 36,208,671 1,828,176 0.34%
4217 CELGENE CORP 15,858,169 1,835,583 0.34%
4218 MCDONALDS CORP 16,736,223 2,037,133 0.38%
4219 GILEAD SCIENCES INC 28,509,283 2,041,550 0.38%
4220 DISNEY WALT CO 19,864,432 2,070,271 0.38%
4221 AMGEN INC 14,594,759 2,133,900 0.39%
4222 COMCAST CORP NEW 31,923,924 2,204,347 0.41%
4223 VISA INC 28,894,395 2,254,341 0.42%
4224 ALTRIA GROUP INC 33,441,353 2,261,304 0.42%
4225 CITIGROUP INC 39,405,684 2,341,880 0.43%
4226 HOME DEPOT INC 17,519,287 2,348,986 0.43%
4227 UNITEDHEALTH GROUP INC 14,789,797 2,366,959 0.44%
4228 PEPSICO INC 22,637,649 2,368,577 0.44%
4229 INTERNATIONAL BUSINESS MACHS 14,568,846 2,418,283 0.45%
4230 CISCO SYS INC 82,091,236 2,480,797 0.46%
4231 PHILIP MORRIS INTL INC 27,262,189 2,494,218 0.46%
4232 COCA COLA CO 63,170,942 2,619,067 0.48%
4233 ISHARES TR 24,766,580 2,676,277 0.49%
4234 ISHARES TR 22,380,265 2,785,448 0.51%
4235 MERCK & CO INC 48,120,535 2,832,856 0.52%
4236 INTEL CORP 79,391,014 2,879,512 0.53%
4237 BANK AMER CORP 137,276,898 3,033,819 0.56%
4238 ALPHABET INC 4,164,106 3,213,940 0.59%
4239 ISHARES TR 56,501,952 3,261,858 0.60%
4240 ALPHABET INC 4,225,839 3,348,766 0.62%
4241 WELLS FARGO CO NEW 60,934,513 3,358,101 0.62%
4242 PFIZER INC 105,436,544 3,424,579 0.63%
4243 VERIZON COMMUNICATIONS INC 64,614,722 3,449,134 0.64%
4244 PROCTER AND GAMBLE CO 41,602,228 3,497,915 0.64%
4245 GENERAL ELECTRIC CO 118,770,156 3,753,137 0.69%
4246 FACEBOOK INC 32,870,346 3,781,733 0.70%
4247 AMAZON COM INC 5,219,225 3,913,740 0.72%
4248 CHEVRON CORP NEW 35,624,847 4,193,044 0.77%
4249 JPMORGAN CHASE & CO 49,180,359 4,243,773 0.78%
4250 BERKSHIRE HATHAWAY INC DEL 26,146,946 4,261,429 0.79%
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