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Institutional Investment Manager
CIBC Private Wealth Group LLC
CIBC Private Wealth Group LLC (CIK: 0001298088) incorporated in Delaware, located at 3290 Northside Parkway, Atlanta, GA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 598 holdings with a total value of $12,154,404,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 3,162,002 348,769,000 2.87%
2 ENTERPRISE PRODS PARTNERS L 12,637,138 314,664,000 2.59%
3 WILLIAMS COS INC DEL 6,022,684 221,937,000 1.83%
4 ENERGY TRANSFER PRTNRS L P 5,354,668 219,916,000 1.81%
5 BUCKEYE PARTNERS L P UNIT LTD PARTN 3,585,995 212,541,000 1.75%
6 ENERGY TRANSFER L P 9,088,383 189,129,000 1.56%
7 MICROSOFT CORP 4,230,686 187,250,000 1.54%
8 GENERAL ELECTRIC CO 7,355,476 185,506,000 1.53%
9 GOOGLE INC 293,120 178,341,000 1.47%
10 NETSCOUT SYS INC 4,911,573 173,722,000 1.43%
11 AUTOMATIC DATA PROCESSING IN 2,102,176 168,930,000 1.39%
12 AMAZON COM INC 320,444 164,032,000 1.35%
13 BARCLAYS BK PLC 7,765,046 160,813,000 1.32%
14 MAGELLAN MIDSTREAM PRTNRS LP 2,667,924 160,369,000 1.32%
15 HOME DEPOT INC 1,363,856 157,512,000 1.30%
16 JOHNSON & JOHNSON 1,615,037 150,764,000 1.24%
17 MARKWEST ENERGY PARTNERS LP 3,416,971 146,622,000 1.21%
18 EXPRESS SCRIPTS HLDG CO 1,781,270 144,211,000 1.19%
19 ISHARES TR 1,519,984 141,360,000 1.16%
20 PLAINS ALL AMERN PIPELINE L 4,625,817 140,532,000 1.16%
21 KINDER MORGAN INC DEL 5,034,298 139,349,000 1.15%
22 PEPSICO INC 1,476,212 139,207,000 1.15%
23 JPMORGAN CHASE & CO 2,186,726 133,325,000 1.10%
24 MEDTRONIC PLC 1,990,350 133,235,000 1.10%
25 DANAHER CORP DEL 1,550,828 132,147,000 1.09%
26 COMCAST CORP NEW 2,309,757 131,378,000 1.08%
27 WELLS FARGO & CO NEW 2,539,740 130,415,000 1.07%
28 ORACLE CORP 3,593,960 129,813,000 1.07%
29 CVS HEALTH CORP 1,317,559 127,119,000 1.05%
30 ALLERGAN PLC 456,330 124,035,000 1.02%
31 AETNA INC NEW 1,094,656 119,768,000 0.99%
32 CISCO SYS INC 4,442,479 116,615,000 0.96%
33 UNITEDHEALTH GROUP INC 991,706 115,049,000 0.95%
34 VISA INC 1,528,210 106,455,000 0.88%
35 STRYKER CORP 1,124,378 105,803,000 0.87%
36 PRUDENTIAL FINL INC 1,371,524 104,524,000 0.86%
37 FISERV INC 1,190,739 103,130,000 0.85%
38 TARGA RES CORP 1,977,162 101,863,000 0.84%
39 EMC 4,098,009 99,008,000 0.81%
40 ISHARES NASDAQ BIOTECHNOLOGY ETF 154,542 98,655,000 0.81%
41 US BANCORP DEL 2,394,023 98,178,000 0.81%
42 VERIZON COMMUNICATIONS INC 2,206,186 95,991,000 0.79%
43 MERCK & CO INC 1,870,456 92,382,000 0.76%
44 ISHARES TR 1,026,620 90,968,000 0.75%
45 CAPITAL ONE FINL CORP 1,244,939 90,283,000 0.74%
46 UNITED TECHNOLOGIES CORP 1,003,214 89,275,000 0.73%
47 CITIGROUP INC 1,788,910 88,747,000 0.73%
48 TJX COS INC NEW 1,212,111 86,570,000 0.71%
49 BOEING CO 660,145 86,447,000 0.71%
50 ALLIANCE DATA SYSTEM 333,790 86,445,000 0.71%
Page 1 of 12

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001298088-15-000011, filed 2015.11.12).

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.