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Institutional Investment Manager
AUXIER ASSET MANAGEMENT LLC
AUXIER ASSET MANAGEMENT LLC (CIK: 0001105863) incorporated in Oregon, located at 15668 NE Eilers Rd, Aurora, OR. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 151 holdings with a total value of $459,918,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 WASHINGTON FED INC 23,939 822,000 0.18%
102 Red Robin Gourmet Burgers 14,200 801,000 0.17%
103 ROYAL DUTCH SHELL PLC 14,503 789,000 0.17%
104 Textainer Group Holdings Limit 93,600 697,000 0.15%
105 WADDELL & REED FINL INC 34,858 680,000 0.15%
106 AETNA INC NEW 5,316 659,000 0.14%
107 KELLY SVCS INC CL A 28,428 652,000 0.14%
108 US BANCORP DEL 11,660 599,000 0.13%
109 AMERICAN EXPRESS CO 8,018 594,000 0.13%
110 WEIGHT WATCHERS INTL INC NEW 49,220 564,000 0.12%
111 COACH INC 15,395 539,000 0.12%
112 Zynerba Pharmaceuticals Inc. 32,699 510,000 0.11%
113 APACHE CORP 8,015 509,000 0.11%
114 Wells Fargo & Co. 9,110 502,000 0.11%
115 ARCOS DORADOS HOLDINGS INC 92,398 499,000 0.11%
116 MANPOWERGROUP 5,350 475,000 0.10%
117 LINCOLN EDL SVCS CORP 232,207 446,000 0.10%
118 ALLIANCE ONE INTL INC 22,636 435,000 0.09%
119 Alphabet, Inc Voting Class 525 416,000 0.09%
120 GENERAL ELECTRIC CO 12,768 403,000 0.09%
121 INTERPUBLIC GROUP COS INC 16,968 397,000 0.09%
122 STARBUCKS CORP 7,054 392,000 0.09%
123 GILEAD SCIENCES INC 5,477 392,000 0.09%
124 AGCO CORP 6,705 388,000 0.08%
125 ALASKA AIR GROUP INC 4,320 383,000 0.08%
126 Laboratory Corp. of America Ho 2,880 370,000 0.08%
127 Hewlett Packard Enterprise Com 15,724 364,000 0.08%
128 WASTE MGMT INC DEL 5,030 357,000 0.08%
129 WEYERHAEUSER CO 11,692 352,000 0.08%
130 Yum China Holdings Inc 13,337 348,000 0.08%
131 FirstService Corp Voting Share 7,160 340,000 0.07%
132 CAL MAINE FOODS INC 7,001 309,000 0.07%
133 Shire PLC 1,705 290,000 0.06%
134 Ameriprise Financial 2,498 277,000 0.06%
135 BRISTOL MYERS SQUIBB CO 4,693 274,000 0.06%
136 COLLIERS INTL GROUP INC 7,160 263,000 0.06%
137 ANDERSONS INC COM 5,890 263,000 0.06%
138 CDK GLOBAL INC 4,272 255,000 0.06%
139 DUNKIN BRANDS GROUP INC COM 4,800 252,000 0.05%
140 Spectra Energy Corp Com 6,071 249,000 0.05%
141 BERKSHIRE HATHAWAY INC DEL 1 244,000 0.05%
142 Allegion PLC 3,802 243,000 0.05%
143 TOYOTA MOTOR CORP 1,975 231,000 0.05%
144 DISCOVERY COMMUNICATNS NEW 8,598 230,000 0.05%
145 HP INC 14,974 222,000 0.05%
146 SK TELECOM LTD 9,733 203,000 0.04%
147 GRANITE CONSTR INC 3,700 203,000 0.04%
148 NOKIA CORP 13,117 63,000 0.01%
149 IDEAL PWR INC 14,383 47,000 0.01%
150 WILLBROS GROUP INC DEL COM 12,175 39,000 0.01%
Page 3 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001105863-17-000002, filed 2017.02.28).

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.