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Institutional Investment Manager
BLACKROCK ADVISORS LLC
BLACKROCK ADVISORS LLC (CIK: 0001086364) incorporated in Delaware, located at 251 Little Falls Drive, Wilmington, DE. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001034551-16-000002) filed in 2016.08.10
#
Name
Shares
Value ($)
%
Options
Notes
201 UNIVERSAL HLTH SVCS INC 864,095 115,875 0.12%
202 TARGET CORP 1,643,057 114,718 0.12%
203 GENERAL ELECTRIC CO 3,613,415 113,750 0.12%
204 GULFPORT ENERGY CORP 3,629,375 113,454 0.12%
205 WEYERHAEUSER CO 3,777,607 112,459 0.11%
206 VODAFONE GROUP PLC NEW 3,640,025 112,440 0.11%
207 ALLERGAN PLC 133,319 111,132 0.11%
208 TEXTRON INC 3,014,866 110,224 0.11%
209 XL GROUP PLC 3,306,884 110,152 0.11%
210 DELPHI AUTOMOTIVE PLC 1,749,023 109,489 0.11%
211 NIKE INC 1,960,719 108,232 0.11%
212 CROWN CASTLE INTL CORP NEW 1,062,725 107,792 0.11%
213 UNITED TECHNOLOGIES CORP 1,051,103 107,791 0.11%
214 SEMPRA ENERGY 944,324 107,672 0.11%
215 WESTROCK CO 2,709,549 105,320 0.11%
216 DR PEPPER SNAPPLE GROUP INC 1,089,584 105,287 0.11%
217 ALPHABET INC 147,809 102,299 0.10%
218 ALEXION PHARMACEUTICALS INC 873,146 101,949 0.10%
219 PFIZER INC 2,856,183 100,566 0.10%
220 CARNIVAL CORP 2,240,233 99,018 0.10%
221 ACUITY BRANDS INC 398,783 98,882 0.10%
222 ISHARES TR 875,136 98,553 0.10%
223 CHARTER COMMUNICATIONS INC N 425,280 97,236 0.10%
224 SLM CORP 15,673,669 96,863 0.10%
225 WELLS FARGO CO NEW 2,044,633 96,772 0.10%
226 AT&T INC 2,213,801 95,658 0.10%
227 OMNICOM GROUP INC 1,169,567 95,308 0.10%
228 SPECTRA ENERGY CORP 2,599,038 95,203 0.10%
229 TELEPHONE DATA SYS INC 3,145,833 93,305 0.09%
230 DELTA AIRLINES INC DEL 2,560,153 93,266 0.09%
231 COCA COLA CO 2,056,031 93,200 0.09%
232 VISA INC 1,239,719 91,950 0.09%
233 NEWELL BRANDS INC 1,889,169 91,757 0.09%
234 SUPERIOR ENERGY SVCS INC 4,961,259 91,337 0.09%
235 ISHARES TR 1,075,000 91,053 0.09% Put
236 NVIDIA CORPORATION 1,936,024 91,012 0.09%
237 FORD MTR CO DEL 7,233,475 90,925 0.09%
238 LIBERTY M SIRIUSXM C 2,934,164 90,578 0.09%
239 HOME DEPOT INC 706,524 90,216 0.09%
240 MICRON TECHNOLOGY INC 6,452,159 88,782 0.09%
241 CHEVRON CORP NEW 844,187 88,496 0.09%
242 TYSON FOODS INC 1,319,312 88,117 0.09%
243 JPMORGAN CHASE & CO 1,415,978 87,989 0.09%
244 WILLIAMS COS INC DEL 4,056,691 87,746 0.09%
245 VERIZON COMMUNICATIONS INC 1,539,478 85,964 0.09%
246 LABORATORY CORP AMER HLDGS 655,446 85,385 0.09%
247 ISHARES TR 3,647,990 85,254 0.09%
248 DISNEY WALT CO 870,417 85,144 0.09%
249 TRIPADVISOR INC 1,318,029 84,749 0.09%
250 DTE ENERGY CO 853,795 84,628 0.09%
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