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Institutional Investment Manager
KEYBANK NATIONAL ASSOCIATION/OH
KEYBANK NATIONAL ASSOCIATION/OH (CIK: 0001089877), registered under National Commercial Banks, located at Key Tower, Cleveland, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001089877-16-000048) filed in 2016.08.10
#
Name
Shares
Value ($)
%
Options
Notes
1201 ISHARES TR 540,155 68,789 0.45%
1202 NEXTERA ENERGY INC 530,173 69,135 0.45%
1203 HOME DEPOT INC 558,722 71,343 0.47%
1204 ISHARES TR 735,998 73,865 0.48%
1205 CVS HEALTH CORP 784,667 75,124 0.49%
1206 BERKSHIRE HATHAWAY INC DEL 543,382 78,676 0.51%
1207 CISCO SYS INC 2,779,061 79,731 0.52%
1208 CINCINNATI FINL CORP 1,069,930 80,127 0.52%
1209 ACCENTURE PLC IRELAND 707,624 80,167 0.52%
1210 ABBVIE INC 1,337,236 82,788 0.54%
1211 THERMO FISHER SCIENTIFIC INC 561,422 82,956 0.54%
1212 CELGENE CORP 866,850 85,498 0.56%
1213 ISHARES TR 2,555,851 87,819 0.57%
1214 CHEVRON CORP NEW 849,481 89,051 0.58%
1215 MCDONALDS CORP 763,868 91,924 0.60%
1216 ALPHABET INC 132,535 93,243 0.61%
1217 INTERNATIONAL BUSINESS MACHS 621,986 94,405 0.62%
1218 MERCK & CO INC 1,669,572 96,184 0.63%
1219 UNITED TECHNOLOGIES CORP 953,305 97,762 0.64%
1220 COCA COLA CO 2,164,256 98,106 0.64%
1221 ISHARES TR 926,564 98,299 0.64%
1222 WELLS FARGO & CO NEW 2,181,981 103,273 0.67%
1223 ORACLE CORP 2,594,436 106,190 0.69%
1224 ISHARES TR 970,304 109,984 0.72%
1225 PEPSICO INC 1,044,876 110,694 0.72%
1226 AMAZON COM INC 157,911 113,004 0.74%
1227 ISHARES TR 2,881,010 114,924 0.75%
1228 SPDR S&P 500 ETF TR 580,977 121,700 0.79%
1229 ISHARES 5-10 YEAR INVESTMENT GRADE CORPORATE BOND ETF 1,098,115 122,176 0.80%
1230 VERIZON COMMUNICATIONS INC 2,232,994 124,690 0.81%
1231 AT&T INC 2,995,418 129,432 0.84%
1232 ISHARES TR 1,144,364 140,454 0.92%
1233 GENERAL ELECTRIC CO 4,742,421 149,291 0.97%
1234 PROCTER AND GAMBLE CO 1,767,940 149,692 0.98%
1235 JPMORGAN CHASE & CO 2,423,022 150,567 0.98%
1236 INTEL CORP 4,694,623 153,984 1.00%
1237 ISHARES TR 1,340,640 154,147 1.01%
1238 PFIZER INC 4,397,240 154,827 1.01%
1239 3M CO 911,031 159,540 1.04%
1240 ISHARES TR 964,964 162,307 1.06%
1241 DISNEY WALT CO 1,715,249 167,786 1.09%
1242 ISHARES TR 1,708,542 187,888 1.23%
1243 VANGUARD INDEX FDS 1,042,042 200,280 1.31%
1244 ISHARES TR 1,760,332 204,568 1.33%
1245 MICROSOFT CORP 4,048,728 207,174 1.35%
1246 ISHARES TR 1,913,120 215,446 1.41%
1247 APPLE INC 2,456,715 234,862 1.53%
1248 JOHNSON & JOHNSON 1,939,739 235,291 1.53%
1249 ISHARES TR 4,774,311 266,502 1.74%
1250 EXXON MOBIL CORP 3,203,667 300,312 1.96%
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