Dark
Light
System
Institutional Investment Manager
MARKSTON INTERNATIONAL LLC
MARKSTON INTERNATIONAL LLC (CIK: 0001089991) incorporated in New York, located at 50 Main Street, White Plains, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001089991-15-000003) filed in 2015.08.07
#
Name
Shares
Value ($)
%
Options
Notes
251 DU PONT E I DE NEMOURS & CO 91,493 5,851 0.43%
252 APACHE CORP 101,929 5,874 0.43%
253 HESS CORP 92,791 6,206 0.46%
254 TRAVELERS COMPANIES INC 64,889 6,272 0.46%
255 METLIFE INC 112,198 6,282 0.46%
256 WILLIAMS COS INC DEL 110,896 6,364 0.47%
257 PEPSICO INC 68,186 6,364 0.47%
258 AT&T INC 182,395 6,479 0.48%
259 AMERICAN EXPRESS CO 83,460 6,487 0.48%
260 VERISIGN 105,535 6,514 0.48%
261 PHILIP MORRIS INTL INC 84,825 6,800 0.50%
262 INTEL CORP 223,625 6,802 0.50%
263 BOEING CO 49,050 6,804 0.50%
264 BERKLEY W R CORP 133,189 6,917 0.51%
265 STATE STR CORP 90,210 6,946 0.51%
266 3M CO 47,980 7,403 0.55%
267 ANADARKO PETR 95,184 7,430 0.55%
268 GENERAL ELECTRIC CO 284,538 7,560 0.56%
269 ORACLE CORP 189,828 7,650 0.56%
270 HONEYWELL INTL INC 75,452 7,694 0.57%
271 ABBVIE INC 115,427 7,756 0.57%
272 RAYTHEON CO 81,705 7,818 0.58%
273 SCHLUMBERGER LTD 92,500 7,973 0.59%
274 GOLDMAN SACHS GROUP INC 39,100 8,164 0.60%
275 EOG RES INC 94,158 8,244 0.61%
276 CONOCOPHILLIPS 135,181 8,301 0.61%
277 WAL-MART STORES INC 117,400 8,327 0.61%
278 LIBERTY BROADBAND-C 162,822 8,330 0.61%
279 AMERICAN INTL GROUP INC 134,885 8,339 0.61%
280 CATERPILLAR INC 100,340 8,511 0.63%
281 JOHNSON & JOHNSON 87,725 8,550 0.63%
282 MCDONALDS CORP 89,940 8,551 0.63%
283 BANK AMER CORP 510,384 8,687 0.64%
284 SPECTRA ENERGY CORP 283,125 9,230 0.68%
285 DISCOVER FINL SVCS 162,520 9,364 0.69%
286 ROCKWELL AUTOMATION INC 78,462 9,780 0.72%
287 LIBERTY MEDIA SER A 271,776 9,795 0.72%
288 HCP INC 268,616 9,796 0.72%
289 CVS HEALTH CORP 97,791 10,256 0.76%
290 TIME WARNER INC 118,375 10,347 0.76%
291 TE CONNECTIVITY LTD 163,166 10,492 0.77%
292 JPMORGAN CHASE & CO 158,992 10,773 0.79%
293 AETNA INC NEW 85,140 10,852 0.80%
294 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 136,271 11,050 0.81%
295 COCA COLA CO 282,590 11,086 0.82%
296 COMCAST CORP NEW 185,370 11,148 0.82%
297 HOME DEPOT INC 100,973 11,221 0.83%
298 ISHARES NASDAQ BIOTECHNOLOGY ETF 21,105 11,398 0.84%
299 WALGREENS BOOTS ALLIANCE INC 136,530 11,529 0.85%
300 US BANCORP DEL 267,500 11,609 0.86%
Page 6 of 7