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Institutional Investment Manager
INGALLS & SNYDER LLC
INGALLS & SNYDER LLC (CIK: 0001041885) incorporated in New York, located at 1 Rockefeller Plaza, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 409 holdings with a total value of $1,694,786,000.
#
Name
Shares
Value ($)
%
Options
Notes
351 BB&T CORP 166,107 5,915,000 0.35%
352 VENTAS INC 81,972 5,969,000 0.35%
353 ABBVIE INC 102,062 6,319,000 0.37%
354 UNION PAC CORP 73,455 6,409,000 0.38%
355 FREEPORT-MCMORAN INC 582,700 6,491,000 0.38%
356 VODAFONE GROUP PLC NEW 226,865 7,008,000 0.41%
357 CONCERT PHARMACEUTICALS INCORPORATED 624,500 7,013,000 0.41%
358 KRAFT HEINZ CO 79,591 7,042,000 0.42%
359 ALPHABET INC 10,399 7,316,000 0.43%
360 ALPHABET INC 10,771 7,455,000 0.44%
361 AMAZON COM INC 10,544 7,545,000 0.45%
362 ABBOTT LABS 203,273 7,991,000 0.47%
363 TIME WARNER INC 112,053 8,240,000 0.49%
364 FORD MTR CO DEL 712,151 8,952,000 0.53%
365 EMERSON ELEC CO 175,181 9,137,000 0.54%
366 UNILEVER N V 219,082 10,284,000 0.61%
367 TORCHMARK CORP COM 169,940 10,506,000 0.62%
368 COLGATE PALMOLIVE CO 146,305 10,710,000 0.63%
369 UNILEVER PLC 232,359 11,132,000 0.66%
370 BRISTOL MYERS SQUIBB CO 157,349 11,573,000 0.68%
371 CONOCOPHILLIPS 269,893 11,767,000 0.69%
372 INTERNATIONAL BUSINESS MACHS 80,976 12,291,000 0.73%
373 DEERE & CO 152,375 12,348,000 0.73%
374 ROPER TECHNOLOGIES INC 73,331 12,507,000 0.74%
375 BANK AMER CORP 952,602 12,641,000 0.75%
376 HOME DEPOT INC 108,939 13,910,000 0.82%
377 GILEAD SCIENCES INC 170,741 14,243,000 0.84%
378 COCA COLA CO 328,434 14,888,000 0.88%
379 VistaPrint NV 166,857 15,431,000 0.91%
380 GOLDMAN SACHS GROUP INC 107,387 15,955,000 0.94%
381 GENERAL MLS INC 231,809 16,533,000 0.98%
382 VERIZON COMMUNICATIONS INC 297,050 16,587,000 0.98%
383 CREDIT ACCEP CORP MICH 92,243 17,072,000 1.01%
384 PEPSICO INC 169,261 17,932,000 1.06%
385 MICROSOFT CORP 367,455 18,803,000 1.11%
386 CISCO SYS INC 662,289 19,001,000 1.12%
387 MERCK & CO INC 335,373 19,321,000 1.14%
388 AT&T INC 453,591 19,600,000 1.16%
389 APPLE INC 209,334 20,012,000 1.18%
390 CHEVRON CORP NEW 210,877 22,106,000 1.30%
391 GENERAL ELECTRIC CO 735,486 23,153,000 1.37%
392 JOHNSON & JOHNSON 191,555 23,236,000 1.37%
393 UNITED TECHNOLOGIES CORP 235,421 24,142,000 1.42%
394 CANADIAN NAT RES LTD 789,624 24,344,000 1.44%
395 STRATUS PPTYS INC 1,353,026 25,342,000 1.50%
396 GETTY RLTY CORP NEW 1,270,926 27,261,000 1.61%
397 JPMORGAN CHASE & CO 463,962 28,830,000 1.70%
398 ORACLE CORP 705,313 28,868,000 1.70%
399 PFIZER INC 834,486 29,382,000 1.73%
400 EXXON MOBIL CORP 322,438 30,225,000 1.78%
Page 8 of 9

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001041885-16-000063, filed 2016.08.11).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.