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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 ($)
%
Options
Notes
1 Hewlett Packard Co 0 0 0.00%
2 BAIDU INC 163 34 0.00%
3 AUTOZONE INC 200 136 0.02%
4 EDISON INTL 200 12 0.00%
5 VENTAS INC 400 29 0.00%
6 ALTISOURCE ASSET MGMT CORP 449 83 0.01%
7 KOHLS CORP 500 39 0.00%
8 AIRGAS INC 500 53 0.01%
9 CROWN CASTLE INTL CORP NEW 500 41 0.00%
10 US BANCORP DEL 600 26 0.00%
11 BOSTON PROPERTIES 700 98 0.01%
12 MCKESSON CORP 800 181 0.02%
13 PROCTER AND GAMBLE CO 900 74 0.01%
14 HARRIS CORP 900 71 0.01%
15 BARD C R INC 900 151 0.02%
16 UNITED PARCEL SERVICE INC 1,000 97 0.01%
17 CARDINAL HEALTH INC 1,100 99 0.01%
18 INTUIT 1,200 116 0.01%
19 POWERSHARES ETF TR II 1,247 47 0.01%
20 Intuit Inc 1,261 315 0.04%
21 EXPRESS SCRIPTS HLDG CO 1,300 113 0.01%
22 HARVARD APPARATUS REGENER TE 1,464 5 0.00%
23 UNITEDHEALTH GROUP INC 1,500 177 0.02%
24 DARDEN RESTAURANTS INC 1,500 104 0.01%
25 VISA INC 1,600 105 0.01%
26 PRAXAIR INC 1,600 193 0.02%
27 STRYKER CORP 1,600 148 0.02%
28 CARNIVAL CORP 1,600 77 0.01%
29 WHOLE FOODS MKT INC 1,700 89 0.01%
30 ACTAVIS PLC 1,729 515 0.06%
31 CANADIAN PAC RY LTD 1,761 322 0.04%
32 PHILIP MORRIS INTL INC 1,800 136 0.02%
33 DUKE ENERGY CORP NEW 1,800 138 0.02%
34 FOSSIL GROUP INC 1,900 157 0.02%
35 SMUCKER J M CO 2,000 231 0.03%
36 VARIAN MED SYS INC 2,000 188 0.02%
37 SIMON PPTY GROUP INC NEW 2,100 411 0.05%
38 FLEETCOR TECHNOLOGIES INC 2,218 335 0.04%
39 PUBLIC STORAGE 2,234 440 0.05%
40 HERSHEY CO 2,300 232 0.03%
41 MATTEL INC 2,300 53 0.01%
42 STRAIGHT PATH COMMUNICATNS INCORPORATED CLASS B 2,398 48 0.01%
43 INTERNATIONAL BUSINESS MACHS 2,400 385 0.04%
44 PINNACLE WEST 2,400 153 0.02%
45 Chubb Corporation 2,500 253 0.03%
46 JOHNSON & JOHNSON 2,500 252 0.03%
47 AVALONBAY COMM 2,500 436 0.05%
48 EXTENDED STAY AMER INC 2,599 51 0.01%
49 DTE ENERGY CO 2,600 210 0.02%
50 APPLE INC 2,623 326 0.04%
Page 1 of 6
Restatement filing (0001133639-15-000031) filed in 2015.08.13
#
Name
Shares
Value ($)
%
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