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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 (2016Q2)
Original 13F HR (0001089991-16-000007) filed in 2016.07.27
#
Name
Shares
Value ($)
%
Options
Notes
251 TE CONNECTIVITY LTD 125,074 7,143 0.67%
252 HONEYWELL INTL INC 61,460 7,149 0.67%
253 HCP INC 207,941 7,357 0.69%
254 LIBERTY BROADBAND-C 122,898 7,374 0.69%
255 SPECTRA ENERGY CORP 206,876 7,578 0.71%
256 JPMORGAN CHASE & CO 124,092 7,711 0.72%
257 LIBERTY INTERACTIVE CORP 316,489 8,029 0.75%
258 US BANCORP DEL 201,712 8,135 0.76%
259 WELLS FARGO CO NEW 180,330 8,535 0.80%
260 BANK AMER CORP 647,329 8,590 0.81%
261 CELGENE CORP 89,400 8,818 0.83%
262 JOHNSON & JOHNSON 73,450 8,909 0.84%
263 ORACLE CORP 218,042 8,924 0.84%
264 INTERNATIONAL BUSINESS MACHS 59,864 9,086 0.85%
265 HOME DEPOT INC 71,258 9,099 0.85%
266 ALPHABET INC 13,250 9,322 0.87%
267 MONSANTO CO NEW 91,462 9,458 0.89%
268 AETNA INC NEW 77,527 9,468 0.89%
269 CVS HEALTH CORP 101,247 9,693 0.91%
270 COMCAST CORP NEW 148,763 9,698 0.91%
271 MARATHON PETE CORP 256,200 9,725 0.91%
272 MADISON SQUARE GARDEN CO NEW 56,943 9,823 0.92%
273 CHUBB LIMITED 77,612 10,145 0.95%
274 UDR INC 286,224 10,567 0.99%
275 APPLE INC 112,706 10,775 1.01%
276 STATE STR CORP 203,239 10,959 1.03%
277 ABBVIE INC 179,543 11,116 1.04%
278 TIME WARNER INC 151,845 11,167 1.05%
279 PAYPAL HLDGS INC 312,016 11,392 1.07%
280 WALGREENS BOOTS ALLIANCE INC 147,865 12,313 1.16%
281 LOWES COS INC 162,897 12,897 1.21%
282 AUTOMATIC DATA PROCESSING IN 143,508 13,184 1.24%
283 PEPSICO INC 129,466 13,716 1.29%
284 UNION PAC CORP 163,505 14,266 1.34%
285 ALPHABET INC 22,001 15,227 1.43%
286 CVS HEALTH CORP 161,291 15,442 1.45%
287 RAYTHEON CO 117,255 15,941 1.50%
288 DU PONT E I DE NEMOURS & CO 248,968 16,133 1.51%
289 TRAVELERS COMPANIES INC 141,198 16,808 1.58%
290 MEDTRONIC PLC 198,590 17,232 1.62%
291 LIBERTY M SIRIUSXM C 568,506 17,550 1.65%
292 AMERICAN EXPRESS CO 295,739 17,969 1.69%
293 BOEING CO 150,039 19,486 1.83%
294 MICROSOFT CORP 389,115 19,911 1.87%
295 AETNA INC NEW 228,366 27,890 2.62%
296 APPLE INC 376,249 35,969 3.38%
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