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Institutional Investment Manager
PARSONS CAPITAL MANAGEMENT INC/RI
PARSONS CAPITAL MANAGEMENT INC/RI (CIK: 0001018674), located at 40 Westminster Street, Providence, RI. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0001018674-14-000002) filed in 2014.04.28
#
Name
Shares
Value ($)
%
Options
Notes
1051 EATON VANCE TX MGD DIV EQ IN 186,280 2,077 0.30%
1052 UNITED TECHNOLOGIES CORP 17,794 2,079 0.30%
1053 FISERV INC 36,682 2,080 0.30%
1054 AT&T Inc New 59,845 2,099 0.30%
1055 FLIR SYS INC 59,000 2,124 0.30%
1056 PHILLIPS 66 27,669 2,132 0.30%
1057 GILEAD SCIENCES INC 30,173 2,138 0.30%
1058 GENERAC HLDGS INC 36,305 2,141 0.30%
1059 ORACLE CORPORATION 53,624 2,194 0.31%
1060 INTUIT 28,256 2,196 0.31%
1061 ORACLE CORPORATION 53,681 2,196 0.31%
1062 MICROSOFT CORP 54,313 2,226 0.32%
1063 GENERAL ELECTRIC CO 86,825 2,248 0.32%
1064 MERCK & CO INC 39,650 2,251 0.32%
1065 VANGUARD INDEX FDS 13,229 2,267 0.32%
1066 JOHNSON & JOHNSON 23,118 2,271 0.32%
1067 ISHARES TR 16,849 2,275 0.32%
1068 3M Co 16,966 2,302 0.33%
1069 Exxon Mobil Corp 23,675 2,313 0.33%
1070 INTEL CORP 89,801 2,318 0.33%
1071 CVS HEALTH CORP 31,399 2,351 0.33%
1072 ABBOTT LABS 61,106 2,353 0.33%
1073 VANGUARD INTL EQUITY INDEX F 58,012 2,354 0.33%
1074 US BANCORP DEL 55,095 2,361 0.34%
1075 HALLIBURTON CO 42,325 2,493 0.35%
1076 VNGRD TTL STK MKT SGNL 55,246 2,529 0.36%
1077 PROCTER AND GAMBLE CO 31,564 2,544 0.36%
1078 JPMorgan Chase & Co 42,256 2,565 0.36%
1079 APPLE INC 4,813 2,583 0.37%
1080 TEAM INC COM NEW 60,499 2,593 0.37%
1081 JPMorgan Chase & Co 43,073 2,615 0.37%
1082 Exxon Mobil Corp 27,175 2,654 0.38%
1083 THERMO FISHER SCIENTIFIC INC 22,197 2,669 0.38%
1084 BLACKROCK INC 8,715 2,741 0.39%
1085 Alphabet Inc. Class C 2,460 2,742 0.39%
1086 CATERPILLAR INC 27,758 2,758 0.39%
1087 SCHLUMBERGER LTD 29,161 2,843 0.40%
1088 Freeport-McMoran Inc Cl B 87,426 2,891 0.41%
1089 PROCTER AND GAMBLE CO 36,111 2,911 0.41%
1090 DANAHER CORP DEL 38,865 2,915 0.41%
1091 AbbVie Inc 57,935 2,978 0.42%
1092 MERCK & CO INC 54,464 3,092 0.44%
1093 PFIZER INC 96,786 3,109 0.44%
1094 MICROSOFT CORP 76,546 3,138 0.45%
1095 BUFFALO WILD WINGS INC 22,130 3,295 0.47%
1096 Salient MLP & Energy Infrastru 254,182 3,325 0.47%
1097 MIMEDX GROUP INC COM 620,349 3,803 0.54%
1098 AMERICAN TOWER CORP REIT 51,400 4,208 0.60%
1099 DUNKIN BRANDS GROUP INC COM 84,950 4,263 0.61%
1100 APPLE INC 8,140 4,369 0.62%
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