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Institutional Investment Manager
BRADLEY FOSTER & SARGENT INC/CT
BRADLEY FOSTER & SARGENT INC/CT (CIK: 0001015086) incorporated in Connecticut, located at 185 Asylum Street, Hartford, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001015086-14-000008) filed in 2014.11.07
#
Name
Shares
Value ($)
%
Options
Notes
201 WEBSTER FINL CORP CONN 32,138 937 0.04%
202 COMCAST CORP NEW 32,294 1,737 0.08%
203 CME GROUP INC 32,841 2,626 0.12%
204 FEI COMPANY 33,405 2,519 0.12%
205 HENRY SCHEIN INC 33,758 3,932 0.19%
206 COGNIZANT TECHNOLOGY SOLUTIO 34,280 1,535 0.07%
207 STANLEY BLACK &DECKER INC 35,351 3,139 0.15%
208 BAXTER INTL INC 35,517 2,549 0.12%
209 ANADARKO PETR 35,783 3,630 0.17%
210 COGENT COMMUNICATIONS HLDGS 36,347 1,222 0.06%
211 KINDER MORGAN INC DEL 37,029 1,420 0.07%
212 MONSANTO CO NEW 37,909 4,265 0.20%
213 STERICYCLE INC 38,987 4,544 0.22%
214 LILLY ELI & CO 39,101 2,536 0.12%
215 ALTRIA GROUP INC 39,378 1,809 0.09%
216 STRYKER CORP 40,871 3,300 0.16%
217 POTLATCH CORP NEW 41,376 1,664 0.08%
218 MASTERCARD INCORPORATED 42,208 3,120 0.15%
219 HANCOCK WHITNEY CORPORATION 42,215 1,353 0.06%
220 NEXTERA ENERGY INC 43,142 4,050 0.19%
221 PRECISION CASTPARTS 43,638 10,337 0.49%
222 RPM INTL INC 43,877 2,009 0.10%
223 FREEPORT-MCMORAN INC 44,141 1,441 0.07%
224 VANGUARD SPECIALIZED PORTFOL 45,435 3,496 0.17%
225 APACHE CORP 45,720 4,292 0.20%
226 D R HORTON INC 46,345 951 0.05%
227 SILGAN HOLDINGS INC 46,606 2,190 0.10%
228 EBAY INC 47,985 2,717 0.13%
229 AMAZON COM INC 48,810 15,738 0.75%
230 Hewlett Packard Co 48,903 1,735 0.08%
231 Chubb Corporation 49,248 4,486 0.21%
232 WISDOMTREE TR 50,482 2,333 0.11%
233 QUALCOMM INC 51,388 3,842 0.18%
234 ISHARES NASDAQ BIOTECHNOLOGY ETF 51,922 30,551 1.45%
235 ROYAL DUTCH SHELL PLC 52,342 3,985 0.19%
236 CONOCOPHILLIPS 52,392 4,009 0.19%
237 CONTINENTAL RESOURE 53,271 3,541 0.17%
238 ISHARES 55,980 1,138 0.05%
239 KANSAS CITY SOUTHERN 56,184 6,810 0.32%
240 COVIDIEN PLC 56,662 4,902 0.23%
241 KINDER MORGAN MANAGEMENT LLC 59,157 5,570 0.26%
242 STARBUCKS CORP 60,304 4,551 0.22%
243 CVS HEALTH CORP 60,993 4,854 0.23%
244 ANALOG DEVICES INC 62,225 3,080 0.15%
245 KIMBERLY CLARK CORP 63,129 6,791 0.32%
246 KINGSWAY FINL SVCS INC 65,038 408 0.02%
247 BERKSHIRE HATHAWAY INC DEL 65,445 9,041 0.43%
248 CISCO SYS INC 66,355 1,670 0.08%
249 GENESEE AND WYOMING INC INC CL A 67,924 6,474 0.31%
250 ISHARES INC MSCI SINGPOR ETF 70,680 943 0.04%
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