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Institutional Investment Manager
NEW YORK LIFE INVESTMENT MANAGEMENT LLC
NEW YORK LIFE INVESTMENT MANAGEMENT LLC (CIK: 0001133639), located at 51 Madison Ave, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001133639-15-000030) filed in 2015.08.13
#
Name
Shares
Value ($)
%
Options
Notes
1 ISHARES TR 515,906 57,678 6.48%
2 ISHARES TR 458,784 57,059 6.41%
3 PIMCO ETF TR 539,315 54,551 6.13%
4 VANGUARD SCOTTSDALE FDS 425,900 40,075 4.50%
5 CLAYMORE ETF GUGGENHEIM ULTRA SHORT 659,122 32,996 3.71%
6 VANGUARD WORLD FD 283,398 30,188 3.39%
7 ISHARES TR 251,633 28,039 3.15%
8 VANGUARD BD INDEX FDS 336,083 28,019 3.15%
9 WISDOMTREE TR 505,189 27,846 3.13%
10 ISHARES 7-10 YEAR TREASURY BOND ETF 253,803 27,510 3.09%
11 ISHARES TR 222,255 27,051 3.04%
12 ISHARES TR 117,430 24,405 2.74%
13 ISHARES TR 364,400 22,811 2.56%
14 ISHARES TR 180,056 19,927 2.24%
15 AMERICAN TOWER CORP NEW 193,752 18,242 2.05%
16 INDEXIQ ETF TR 567,655 16,371 1.84%
17 VANGUARD MALVERN FDS 333,853 16,179 1.82%
18 ISHARES 7-10 YEAR TREASURY BOND ETF 130,371 14,131 1.59%
19 VANGUARD INDEX FDS 130,606 14,007 1.57%
20 ISHARES TR 203,320 13,012 1.46%
21 CLAYMORE EXCHANGE TRD FD TR 439,669 11,906 1.34%
22 VANGUARD LONG TERM BOND ETF 119,200 11,481 1.29%
23 VANGUARD SCOTTSDALE FDS 130,100 11,410 1.28%
24 SELECT SECTOR SPDR TR 180,612 10,073 1.13%
25 ISHARES 20 YEAR TREASURY BOND ETF 76,850 10,044 1.13%
26 ISHARES TR 155,350 9,969 1.12%
27 POWERSHS DB US DOLLAR INDEX 371,015 9,609 1.08%
28 VANGUARD INDEX FDS 99,151 9,113 1.02%
29 VANGUARD WORLD FD 62,634 8,131 0.91%
30 MARKET VECTORS ETF TR 316,456 7,915 0.89%
31 ISHARES 254,345 7,564 0.85%
32 VANGUARD INDEX FDS 85,700 7,225 0.81%
33 SELECT SECTOR SPDR TR 94,714 7,137 0.80%
34 ISHARES TR 56,635 7,014 0.79%
35 ISHARES TR 60,436 7,002 0.79%
36 SPDR SERIES TRUST 177,333 6,955 0.78%
37 SPDR INDEX SHS FDS 154,940 6,934 0.78%
38 SELECT SECTOR SPDR TR 276,667 6,670 0.75%
39 CLAYMORE EXCHANGE TRD FD TR 136,911 6,505 0.73%
40 AMERICA MOVIL SAB DE CV 309,100 6,324 0.71%
41 GLOBAL X FDS 237,398 6,229 0.70%
42 ISHARES TR 149,093 6,202 0.70%
43 ISHARES TR 133,758 5,939 0.67%
44 SPDR SERIES TRUST 134,900 5,713 0.64%
45 WISDOMTREE TR 85,559 5,659 0.64%
46 SPDR INDEX SHS FDS 141,719 5,502 0.62%
47 ISHARES 183,653 5,480 0.62%
48 ProShares UltraShort Yen 59,877 5,324 0.60%
49 CHEETAH MOBILE INC 303,420 5,185 0.58%
50 ISHARES TR MSCI UK ETF NEW 263,623 4,748 0.53%
Page 1 of 6
Restatement filing (0001133639-15-000031) filed in 2015.08.13
#
Name
Shares
Value ($)
%
Options
Notes
201 HERSHEY CO 2,300 204 0.02%
202 URBAN OUTFITTERS INC COM 5,600 196 0.02%
203 PRAXAIR INC 1,600 191 0.02%
204 WELLTOWER INC. 2,800 184 0.02%
205 NETAPP INC 5,700 180 0.02%
206 MCKESSON CORP 800 180 0.02%
207 Altisource Residential Corp 10,393 175 0.02%
208 EVERSOURCE ENERGY 3,800 173 0.02%
209 CINCINNATI FIN 3,400 171 0.02%
210 STARWOOD WAYPOINT RESIDENTIAL 7,027 167 0.02%
211 RADWARE LTD 7,428 165 0.02%
212 XCEL ENERGY INC 5,000 161 0.02%
213 NEW MEDIA INVT GROUP INC COM 8,689 156 0.02%
214 BARD C R INC 900 154 0.02%
215 STRYKER CORP 1,600 153 0.02%
216 LANDS END INC NEW 6,141 152 0.02%
217 FTD GROUP INC 5,224 147 0.02%
218 INTERPUBLIC GROUP COS INC 7,584 146 0.02%
219 PINNACLE WEST 2,400 137 0.02%
220 COCA COLA CO 3,500 137 0.02%
221 AUTOZONE INC 200 133 0.02%
222 FOSSIL GROUP INC 1,900 132 0.01%
223 DUKE ENERGY CORP NEW 1,800 127 0.01%
224 RAYONIER ADVANCED MATLS INC COM 7,803 127 0.01%
225 INTUIT 1,200 121 0.01%
226 VERITIV CORP 3,267 119 0.01%
227 ENOVA INTL INC COM 6,139 115 0.01%
228 SILVER BAY RLTY TR CORP 6,707 109 0.01%
229 DARDEN RESTAURANTS INC 1,500 107 0.01%
230 VISA INC 1,600 107 0.01%
231 LUMEN TECHNOLOGIES INC 3,400 100 0.01%
232 EQT CORP 1,200 98 0.01%
233 CARDINAL HEALTH INC 1,100 92 0.01%
234 MICHAEL KORS HLDGS LTD 2,100 88 0.01%
235 BOSTON PROPERTIES 700 85 0.01%
236 ERA GROUP INC COM 3,961 81 0.01%
237 CARNIVAL CORP 1,600 79 0.01%
238 SCANA 1,500 76 0.01%
239 MERCK & CO INC 1,300 74 0.01%
240 PERKINELMER INC 1,400 74 0.01%
241 Tribune Publishing Co 4,742 74 0.01%
242 STRAIGHT PATH COMMUNICATNS INCORPORATED CLASS B 2,244 74 0.01%
243 PROCTER AND GAMBLE CO 900 70 0.01%
244 HARRIS CORP 900 69 0.01%
245 WHOLE FOODS MKT INC 1,700 67 0.01%
246 CIVEO CORP CDA 19,940 61 0.01%
247 MATTEL INC 2,300 59 0.01%
248 ALTISOURCE ASSET MGMT CORP 412 59 0.01%
249 LINCOLN NATL CORP IND 900 53 0.01%
250 JUNIPER NETWORKS INC 1,700 44 0.00%
Page 5 of 6