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Institutional Investment Manager
BOWEN HANES & CO INC
BOWEN HANES & CO INC (CIK: 0001077583), located at 135 Professional Drive, Suite 103, Ponte Vedra Beach, FL. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 131 holdings with a total value of $1,887,314,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 INTERNATIONAL FLAVORS&FRAGRA 23,645 3,381,000 0.18%
52 EMERSON ELEC CO 62,152 3,388,000 0.18%
53 EQUIFAX INC 26,916 3,622,000 0.19%
54 MICROSOFT CORP 72,780 4,192,000 0.22%
55 PROCTER AND GAMBLE CO 63,972 5,741,000 0.30%
56 WALGREENS BOOTS ALLIANCE INC 73,657 5,938,000 0.31%
57 BLACKSTONE GROUP L P 240,570 6,142,000 0.33%
58 ENTERPRISE PRODS PARTNERS L 276,950 7,652,000 0.41%
59 SUBURBAN PROPANE PARTNERS LP COM USD1 250,225 8,332,000 0.44%
60 BROOKFIELD RENEWABLE PARTNER 271,095 8,339,000 0.44%
61 COCA COLA CO 215,300 9,111,000 0.48%
62 VULCAN MATLS CO 100,000 11,373,000 0.60%
63 TERRA NITROGEN CO L P 102,000 11,458,000 0.61%
64 BCE INC 251,025 11,592,000 0.61%
65 PAYPAL HLDGS INC 294,670 12,073,000 0.64%
66 HILL ROM HLDGS INC 225,000 13,945,000 0.74%
67 MELLANOX TECHNOLOGIES LTD 325,000 14,056,000 0.74%
68 Siemens AG 125,000 14,665,000 0.78%
69 UNILEVER PLC 329,525 15,619,000 0.83%
70 HOWARD HUGHES CORP 140,000 16,030,000 0.85%
71 XYLEM INC 319,600 16,763,000 0.89%
72 TRINSEO S A 300,000 16,968,000 0.90%
73 METLIFE INC 386,330 17,165,000 0.91%
74 BORGWARNER INC 493,735 17,370,000 0.92%
75 DEERE & CO 208,425 17,789,000 0.94%
76 OMNICOM GROUP INC 210,000 17,850,000 0.95%
77 NOKIA CORP 3,087,415 17,876,000 0.95%
78 HENRY JACK & ASSOC INC 215,000 18,393,000 0.97%
79 ROCHE HOLDING LTD SPONSORED AD 608,515 18,846,000 1.00%
80 Brookfield Infrast Partners LP 557,924 19,327,000 1.02%
81 KROGER CO 654,871 19,437,000 1.03%
82 MARSH & MCLENNAN COS INC 289,189 19,448,000 1.03%
83 OLIN CORP 948,465 19,463,000 1.03%
84 HP INC 1,268,145 19,694,000 1.04%
85 SNAP ON INC 134,060 20,372,000 1.08%
86 HENRY SCHEIN INC 126,625 20,637,000 1.09%
87 VCA INCORPORATED 299,940 20,990,000 1.11%
88 TETRA TECH INC NEW 600,145 21,287,000 1.13%
89 ALLEGHENY TECHNOLOGIES INC 1,210,945 21,882,000 1.16%
90 UNION PAC CORP 227,581 22,196,000 1.18%
91 FEDEX CORP 129,138 22,558,000 1.20%
92 CANADIAN NATL RY CO 358,570 23,450,000 1.24%
93 MEDTRONIC PLC 274,940 23,755,000 1.26%
94 DU PONT E I DE NEMOURS & CO 365,073 24,449,000 1.30%
95 CISCO SYS INC 782,055 24,807,000 1.31%
96 SMITH & WESSON HLDG 956,900 25,444,000 1.35%
97 VERMILION ENERGY INC 657,570 25,474,000 1.35%
98 COTT CORP QUE 1,800,000 25,650,000 1.36%
99 A O SMITH 260,000 25,685,000 1.36%
100 NEWELL BRANDS 522,585 27,519,000 1.46%
Page 2 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001077583-16-000010, filed 2016.11.14).

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.