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Institutional Investment Manager
HALSEY ASSOCIATES INC/CT
HALSEY ASSOCIATES INC/CT (CIK: 0001034188) incorporated in Connecticut, located at 265 Church Street, New Haven, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001034188-16-000007) filed in 2016.08.16
#
Name
Shares
Value ($)
%
Options
Notes
51 BANK AMER CORP 17,750 236 0.05%
52 Hospitality Properties trust 18,625 536 0.12%
53 INTERNATIONAL BUSINESS MACHS 19,770 3,001 0.67%
54 ALPHABET INC. CLASS C 20,179 13,966 3.11%
55 AUTOMATIC DATA PROCESSING IN 20,539 1,887 0.42%
56 SUNCOR ENERGY INC NEW 21,580 598 0.13%
57 PROCTER AND GAMBLE CO 25,615 2,169 0.48%
58 AT&T INC 27,609 1,193 0.27%
59 ABBOTT LABS 27,615 1,086 0.24%
60 F5 NETWORKS INC 29,639 3,374 0.75%
61 PHILIP MORRIS INTL INC 31,715 3,226 0.72%
62 PFIZER INC 31,855 1,122 0.25%
63 ALTRIA GROUP INC 32,150 2,217 0.49%
64 WAL-MART STORES INC 34,156 2,494 0.55%
65 Henderson Land Development 35,703 200 0.04%
66 INTEL CORP 39,059 1,281 0.29%
67 VARIAN MEDICAL 39,785 3,272 0.73%
68 DIAGEO P L C 41,102 4,640 1.03%
69 ICON PLC 41,500 2,905 0.65%
70 Medivation Inc 47,381 2,857 0.64%
71 JPMORGAN CHASE & CO 47,573 2,956 0.66%
72 PALO ALTO NETWORKS INC 50,441 6,186 1.38%
73 E M C CORP MASS COM 59,863 1,626 0.36%
74 JOHNSON & JOHNSON 60,789 7,374 1.64%
75 KANSAS CITY SOUTHERN 69,543 6,265 1.39%
76 DEERE & CO 85,981 6,968 1.55%
77 MONSANTO CO NEW 87,120 9,009 2.00%
78 CISCO SYSTEMS INC 89,418 2,565 0.57%
79 COCA COLA CO 91,490 4,147 0.92%
80 FACEBOOK INC 98,406 11,246 2.50%
81 UNITED PARCEL SERVICE INC 103,541 11,153 2.48%
82 UNDER ARMOUR INC 104,250 3,795 0.84%
83 DISNEY WALT CO 108,269 10,591 2.36%
84 BERKSHIRE HATHAWAY B 114,500 16,578 3.69%
85 Exxon Mobil Corp 120,919 11,335 2.52%
86 PEPSICO INC 122,604 12,989 2.89%
87 CERNER CORP 126,206 7,396 1.65%
88 AMERICAN TOWER CORP REIT 130,045 14,774 3.29%
89 CELGENE CORP 154,280 15,217 3.39%
90 JACOBS ENGR GROUP INC 157,730 7,857 1.75%
91 APPLE INC 182,718 17,468 3.89%
92 QUINTILES IMS HLDGS 191,036 12,478 2.78%
93 DUNKIN BRANDS GROUP INC COM 192,643 8,403 1.87%
94 VISA INC CL A COMMON STOCK 231,221 17,150 3.82%
95 Evercore Partners Inc Class A 243,822 10,774 2.40%
96 Paypal Holdings Inc 257,325 9,395 2.09%
97 RESMED INC 263,058 16,633 3.70%
98 WHITEWAVE FOODS CO 263,277 12,358 2.75%
99 COLONY STARWOOD HOMES 280,771 8,541 1.90%
100 COGNIZANT TECHNOLOGY SOLUTIO 283,036 16,201 3.61%
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