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Institutional Investment Manager
GREYSTONE INVESTMENT MANAGEMENT LLC
GREYSTONE INVESTMENT MANAGEMENT LLC (CIK: 0001166741) incorporated in Ohio, located at 3805 Edwards Rd, Cincinnati, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 56 holdings with a total value of $241,443,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BROOKFIELD ASSET MGMT INC 516,299 16,232,000 6.72%
2 MICROSOFT CORP 309,802 13,712,000 5.68%
3 BERKSHIRE HATHAWAY INC DEL 103,661 13,517,000 5.60%
4 WELLS FARGO & CO NEW 241,586 12,405,000 5.14%
5 BANK NEW YORK MELLON CORP 307,100 12,023,000 4.98%
6 HOWARD HUGHES CORP 94,155 10,803,000 4.47%
7 NESTLE SA SPONSORED ADR REPSTG 137,146 10,319,000 4.27%
8 BANK AMER CORP 628,820 9,797,000 4.06%
9 GOOGLE INC 15,354 9,342,000 3.87%
10 GENERAL ELECTRIC CO 349,587 8,817,000 3.65%
11 AIR LEASE CORP 272,800 8,435,000 3.49%
12 WILLIAMS COS INC DEL 222,358 8,194,000 3.39%
13 DIAGEO P L C 65,475 7,058,000 2.92%
14 ORACLE CORP 193,266 6,981,000 2.89%
15 CK HUTCHISON HOLDINGS LTD 515,000 6,685,000 2.77%
16 BROOKFIELD PPTY PARTNERS L P 300,120 6,441,000 2.67%
17 TRIBUNE MEDIA CO 174,800 6,223,000 2.58%
18 UNION PAC CORP 66,686 5,896,000 2.44%
19 MADISON SQUARE GARDEN 77,205 5,570,000 2.31%
20 ANHEUSER BUSCH CO INC 51,595 5,486,000 2.27%
21 Cheung Kong Property Holdings 745,500 5,420,000 2.24%
22 WEYERHAEUSER CO 194,867 5,328,000 2.21%
23 TIME WARNER INC 76,525 5,261,000 2.18%
24 DEVON ENERGY CORP NEW 141,106 5,234,000 2.17%
25 COMCAST CORP NEW 79,226 4,535,000 1.88%
26 INTERNATIONAL SPEEDWAY CORP 95,882 3,041,000 1.26%
27 PAYPAL HLDGS INC 96,755 3,003,000 1.24%
28 BROOKFIELD INFRAST PARTNERS 77,702 2,857,000 1.18%
29 GRAHAM HLDGS CO COM 4,437 2,560,000 1.06%
30 EBAY INC 96,755 2,365,000 0.98%
31 NEWS CORP CL A 169,310 2,137,000 0.89%
32 SWATCH GROUP AG AKT SWITZERLAN 5,039 1,868,000 0.77%
33 VANGUARD WORLD FD 17,155 1,716,000 0.71%
34 EXPRESS SCRIPTS HLDG CO 19,365 1,568,000 0.65%
35 VANGUARD INDEX FDS 11,358 1,121,000 0.46%
36 AMERICAN INTL GROUP INC 19,695 1,119,000 0.46%
37 ISHARES NASDAQ BIOTECHNOLOGY ETF 1,572 1,004,000 0.42%
38 CABLE ONE INC 2,241 940,000 0.39%
39 S&P Developed Ex-U.S. Property Index Fund 26,710 931,000 0.39%
40 CONSOLIDATED TOMOKA LD CO 15,255 760,000 0.31%
41 CISCO SYS INC 24,145 634,000 0.26%
42 DISNEY WALT CO 5,478 560,000 0.23%
43 ILLINOIS TOOL WKS INC 4,000 329,000 0.14%
44 JOHNSON & JOHNSON 3,433 320,000 0.13%
45 ROYAL DUTCH SHELL PLC 6,646 315,000 0.13%
46 ISHARES U.S. OIL & GAS EXPLORATION & PRODUCTION ETF 5,430 301,000 0.12%
47 VANGUARD WHITEHALL FDS 4,674 293,000 0.12%
48 CHURCH & DWIGHT 3,330 279,000 0.12%
49 AMGEN INC 1,936 268,000 0.11%
50 COCA COLA CO 6,162 247,000 0.10%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001172661-15-001824, filed 2015.10.22).

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.