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Institutional Investment Manager
SMITHBRIDGE ASSET MANAGEMENT INC/DE
SMITHBRIDGE ASSET MANAGEMENT INC/DE (CIK: 0001103245) incorporated in Delaware, located at 116 Commons Court, Chadds Ford, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 54 holdings with a total value of $107,660,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 CORNERSTONE FINL CORP COM 40,000 44,000 0.04%
2 KINDER MORGAN INC DEL 12,150 227,000 0.21%
3 E M C CORP MASS COM 9,000 245,000 0.23%
4 PAYCHEX INC 4,200 250,000 0.23%
5 SUNOCO LOGISTICS PRTNRS L P 9,400 270,000 0.25%
6 VANGUARD SPECIALIZED FUNDS 3,800 316,000 0.29%
7 FOOTLOCKER INC COM 7,700 422,000 0.39%
8 ROYAL DUTCH SHELL PLC 8,914 492,000 0.46%
9 ISHARES TR 14,600 582,000 0.54%
10 VALERO ENERGY CORP NEW 11,501 587,000 0.55%
11 ILLINOIS TOOL WKS INC 5,810 605,000 0.56%
12 GENERAL ELECTRIC CO 20,137 634,000 0.59%
13 ISHARES TR 27,800 796,000 0.74%
14 BANK N S HALIFAX 17,450 855,000 0.79%
15 ISHARES TR 29,800 1,024,000 0.95%
16 QUALCOMM INC 20,900 1,120,000 1.04%
17 GOLDMAN SACHS GROUP INC 7,625 1,133,000 1.05%
18 UNILEVER PLC 23,750 1,138,000 1.06%
19 ENTERPRISE PRODS PARTNERS L 39,302 1,150,000 1.07%
20 KIMBERLY CLARK CORP 10,000 1,375,000 1.28%
21 INTEL CORP 46,062 1,511,000 1.40%
22 FISERV INC 14,250 1,549,000 1.44%
23 DISNEY WALT CO 18,175 1,778,000 1.65%
24 STRYKER CORP 14,868 1,782,000 1.66%
25 TEVA PHARMACEUTICAL INDS LTD 36,740 1,845,000 1.71%
26 ABBOTT LABS 47,850 1,881,000 1.75%
27 NOVO-NORDISK A S 35,404 1,904,000 1.77%
28 CANADIAN NATL RY CO 33,430 1,974,000 1.83%
29 3M CO 11,500 2,014,000 1.87%
30 CHEVRON CORP NEW 19,539 2,048,000 1.90%
31 ABBVIE INC 34,290 2,123,000 1.97%
32 NIKE INC 39,140 2,161,000 2.01%
33 METLIFE INC 55,701 2,219,000 2.06%
34 UNITEDHEALTH GROUP INC 16,400 2,316,000 2.15%
35 VERIZON COMMUNICATIONS INC 42,017 2,346,000 2.18%
36 ECOLAB INC 20,025 2,375,000 2.21%
37 SCHLUMBERGER LTD 31,115 2,461,000 2.29%
38 CVS HEALTH CORP 26,600 2,547,000 2.37%
39 PRICE T ROWE GROUP INC 35,735 2,608,000 2.42%
40 VARIAN MED SYS INC 31,800 2,615,000 2.43%
41 PROCTER AND GAMBLE CO 32,630 2,763,000 2.57%
42 ORACLE CORP 69,775 2,856,000 2.65%
43 UNITED TECHNOLOGIES CORP 30,576 3,136,000 2.91%
44 SKYWORKS SOLUTIONS INC 49,750 3,148,000 2.92%
45 LOCKHEED MARTIN CORP 13,775 3,419,000 3.18%
46 TJX COS INC NEW 45,260 3,495,000 3.25%
47 HONEYWELL INTL INC 30,075 3,498,000 3.25%
48 EXXON MOBIL CORP 37,392 3,505,000 3.26%
49 WELLS FARGO & CO NEW 76,724 3,631,000 3.37%
50 MICROSOFT CORP 78,323 4,008,000 3.72%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001103245-16-000016, filed 2016.08.11).

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.