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Institutional Investment Manager
COMMERCE BANK
COMMERCE BANK (CIK: 0001009076) incorporated in Missouri, located at 1000 Walnut, Kansas City, MO. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 819 holdings with a total value of $6,698,509,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 Commerce Bancshares Inc 7,309,900 422,585,000 6.31%
2 ISHARES TR 3,977,820 319,936,000 4.78%
3 ISHARES TR 1,624,647 182,009,000 2.72%
4 EXXON MOBIL CORP 1,657,122 149,572,000 2.23%
5 JOHNSON & JOHNSON 1,062,600 122,422,000 1.83%
6 APPLE INC 1,048,991 121,494,000 1.81%
7 GENERAL ELECTRIC CO 3,702,239 116,990,000 1.75%
8 AT&T INC 2,736,849 116,398,000 1.74%
9 CHEVRON CORP NEW 953,981 112,283,000 1.68%
10 PROCTER AND GAMBLE CO 1,261,494 106,066,000 1.58%
11 MICROSOFT CORP 1,665,544 103,497,000 1.55%
12 ISHARES TR 987,279 96,151,000 1.44%
13 JPMORGAN CHASE & CO 1,057,456 91,248,000 1.36%
14 JPMORGAN CHASE & CO 2,861,842 90,462,000 1.35%
15 ISHARES TR 861,769 90,399,000 1.35%
16 PEPSICO INC 794,024 83,079,000 1.24%
17 PFIZER INC 2,544,921 82,659,000 1.23%
18 MERCK & CO INC 1,364,129 80,306,000 1.20%
19 ISHARES TR 571,962 77,129,000 1.15%
20 LOCKHEED MARTIN CORP 295,139 73,767,000 1.10%
21 VANGUARD TAX-MANAGED FDS 1,968,885 71,943,000 1.07%
22 ISHARES TR 637,347 68,872,000 1.03%
23 WELLS FARGO & CO NEW 1,225,021 67,511,000 1.01%
24 UNION PAC CORP 642,321 66,596,000 0.99%
25 ISHARES TR 363,354 64,989,000 0.97%
26 ALPHABET INC 77,061 61,067,000 0.91%
27 CME GROUP INC 527,148 60,807,000 0.91%
28 ISHARES TR 215,665 57,233,000 0.85%
29 VERIZON COMMUNICATIONS INC 1,034,596 55,227,000 0.82%
30 UNITED TECHNOLOGIES CORP 485,339 53,203,000 0.79%
31 SPDR S&P 500 ETF TR 236,668 52,903,000 0.79%
32 ALTRIA GROUP INC 766,395 51,823,000 0.77%
33 NEWELL BRANDS 1,112,457 49,672,000 0.74%
34 VANGUARD INTL EQUITY INDEX F 1,352,092 48,378,000 0.72%
35 ISHARES RUSSELL 2000 VALUE ETF 403,275 47,965,000 0.72%
36 ALPS ETF TR 3,595,990 45,310,000 0.68%
37 MONDELEZ INTL INC 1,016,702 45,070,000 0.67%
38 FACEBOOK INC 375,151 43,161,000 0.64%
39 INTEL CORP 1,182,342 42,884,000 0.64%
40 VISA INC 547,843 42,743,000 0.64%
41 WASTE MGMT INC DEL 574,177 40,715,000 0.61%
42 AMAZON COM INC 53,944 40,451,000 0.60%
43 ISHARES RUSSELL 2000 GROWTH ETF 262,500 40,409,000 0.60%
44 ISHARES TR 447,232 39,611,000 0.59%
45 LOWES COS INC 532,032 37,838,000 0.56%
46 EMERSON ELEC CO 669,829 37,343,000 0.56%
47 HONEYWELL INTL INC 320,134 37,088,000 0.55%
48 VANTIV INC 619,698 36,946,000 0.55%
49 MCDONALDS CORP 299,773 36,488,000 0.54%
50 DISNEY WALT CO 344,239 35,877,000 0.54%
Page 1 of 17

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001009076-17-000002, filed 2017.02.08).

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.