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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 (2014Q3)
Original 13F HR (0001018674-14-000004) filed in 2014.10.29
#
Name
Shares
Value ($)
%
Options
Notes
951 PNC FINL SVCS GROUP INC 168 14 0.00%
952 Gen Motors Co 430 14 0.00%
953 Ingersoll-Rand PLC 250 14 0.00%
954 ISHARES TR 130 14 0.00%
955 NATIONAL GRID PLC ADR 200 14 0.00%
956 AGL Resources Inc 275 14 0.00%
957 Devon Energy Corp 200 14 0.00%
958 NIKE INC 160 14 0.00%
959 VANGUARD SECTOR INDEX FDS VANG 115 13 0.00%
960 ALLSTATE CORP 211 13 0.00%
961 SELECT SECTOR SPDR TRUST THE H 200 13 0.00%
962 GILEAD SCIENCES INC 123 13 0.00%
963 BLOCK H & R INC 425 13 0.00%
964 PPG INDS INC 67 13 0.00%
965 BUFFALO WILD WINGS INC 100 13 0.00%
966 VISA INC CL A COMMON STOCK 60 13 0.00%
967 SPECTRA ENERGY CORP 300 12 0.00%
968 THERMO FISHER SCIENTIFIC INC 100 12 0.00%
969 CISCO SYSTEMS INC 465 12 0.00%
970 Vodafone Group PLC Spnsr ADR N 353 12 0.00%
971 AUTOMATIC DATA PROCESSING IN 150 12 0.00%
972 Facebook Inc Cl A 150 12 0.00%
973 TEAM INC COM NEW 300 11 0.00%
974 VISA INC CL A COMMON STOCK 50 11 0.00%
975 JPMorgan Alerian MLP ETN 200 11 0.00%
976 PAYCHEX INC 256 11 0.00%
977 CELGENE CORP 120 11 0.00%
978 Agnico Eagle 385 11 0.00%
979 WHOLE FOODS MKT INC 285 11 0.00%
980 VANGUARD INDEX FDS 100 11 0.00%
981 Sanofi Aventis ADR 200 11 0.00%
982 ROCHE HOLDING LTD SPONSORED 300 11 0.00%
983 AMGEN INC 75 11 0.00%
984 FIREEYE INC COM 350 11 0.00%
985 OMNICOM GROUP INC 142 10 0.00%
986 WELLS FARGO CO NEW 200 10 0.00%
987 Potash Corp Saskatchewan Inc 300 10 0.00%
988 Novartis AG ADR 109 10 0.00%
989 SCHWAB INTERNATIONAL EQUITY ETF 335 10 0.00%
990 FORD MTR CO DEL 700 10 0.00%
991 DUKE REALTY CORP 600 10 0.00%
992 ALEXCO RESOURCE CORP 15,000 10 0.00%
993 MONDELEZ INTL INC 300 10 0.00%
994 PHILIP MORRIS INTL INC 125 10 0.00%
995 NXP Semiconductors NV 150 10 0.00%
996 YUM BRANDS INC 125 9 0.00%
997 HOME DEPOT INC 100 9 0.00%
998 FORD MTR CO DEL 575 9 0.00%
999 METLIFE INC 175 9 0.00%
1000 PNC FINL SVCS GROUP INC 105 9 0.00%
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