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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
301 DANAHER CORP DEL 7,910 593 0.08%
302 Brookfield Infrast Partners LP 15,000 592 0.08%
303 ISHARES 9,225 590 0.08%
304 SYSCO CORP 16,115 582 0.08%
305 COMCAST CORP NEW 11,304 566 0.08%
306 BERKSHIRE HATHAWAY INC DEL 3 562 0.08%
307 TOTAL S A F SPONSORED ADR 1 ADR REPS 1 ORD SHS 8,560 562 0.08%
308 AGNICO EAGLE MINES LTD 18,517 560 0.08%
309 ISHARES MSCI ACWI EX US IDX FD 12,000 559 0.08%
310 DUKE REALTY CORP 32,977 557 0.08%
311 LILLY ELI & CO 9,295 547 0.08%
312 Novartis AG ADR 6,435 547 0.08%
313 STERICYCLE INC 4,765 541 0.08%
314 Plains GP Holdings-CL A 19,300 540 0.08%
315 Mallinckrodt PLC 8,512 540 0.08%
316 MCDONALDS CORP 5,452 534 0.08%
317 SCHWAB STRATEGIC TRUST SCHWAB FUNDAMENTAL EMERG 20,382 527 0.07%
318 NATIONAL OILWELL VARCO INC 6,668 519 0.07%
319 T ROWE PRICE EQUITY INCOME FUND 15,622 518 0.07%
320 UNION PAC CORP 2,755 517 0.07%
321 Ingersoll-Rand PLC 9,000 515 0.07%
322 JOHNSON & JOHNSON 5,228 514 0.07%
323 Exxon Mobil Corp 5,262 514 0.07%
324 CUMMINS INC 3,400 507 0.07%
325 PowerShares Water Resource 18,795 501 0.07%
326 AMERICAN DG ENERGY INC 250,000 497 0.07%
327 Kinder Morgan Inc. 6,668 493 0.07%
328 Salient MLP & Energy Infrastru 37,210 487 0.07%
329 Verizon Communications Inc 10,241 487 0.07%
330 Kraft Foods 8,655 486 0.07%
331 AMAZON COM INC 1,400 471 0.07%
332 LILLY ELI & CO 8,000 471 0.07%
333 PHILIP MORRIS INTL INC 5,745 470 0.07%
334 LULULEMON ATHLETICA INC 8,910 469 0.07%
335 NOBLE ENERGY INC 6,595 469 0.07%
336 WASHINGTON TR BANCORP COM 12,500 468 0.07%
337 CONSOLIDATED EDISON INC 8,700 467 0.07%
338 AUTOMATIC DATA PROCESSING IN 6,050 467 0.07%
339 SCHWAB U.S. LARGE-CAP ETF 10,403 465 0.07%
340 CONTINENTAL RESOURE 3,740 465 0.07%
341 GOLDCORP INC NEW 18,969 464 0.07%
342 ISHARES GOLD TRUST 36,215 451 0.06%
343 BLACKROCK INC 1,427 449 0.06%
344 PowerShares Water Resource 16,800 448 0.06%
345 TCW SELECT EQUITIES FUND I CLA 17,827 447 0.06%
346 COLGATE PALMOLIVE CO 6,881 446 0.06%
347 ABBOTT LABS 11,561 445 0.06%
348 WAL-MART STORES INC 5,775 441 0.06%
349 KAYNE ANDERSON MLP INVT CO 12,000 441 0.06%
350 HOME DEPOT INC 5,550 439 0.06%
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