Dark
Light
System
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 (2016Q1)
Original 13F HR (0001298088-16-000020) filed in 2016.05.11
#
Name
Shares
Value ($)
%
Options
Notes
701 JONES LANG LASALLE INC 66,875 7,846 0.06%
702 AMERIGAS PARTNERS L P 181,554 7,892 0.06%
703 TD AMERITRADE HLDG CORP 251,339 7,925 0.06%
704 PENNTEX MIDSTREAM PAR 787,729 7,988 0.06%
705 ISHARES TR 83,013 8,202 0.06%
706 ANSYS 93,919 8,402 0.06%
707 LKQ CORP 264,303 8,439 0.07%
708 CARDINAL HEALTH INC 103,674 8,496 0.07%
709 COCA COLA CO 183,367 8,506 0.07%
710 PBF LOGISTICS LP 455,742 8,586 0.07%
711 MARATHON PETE CORP 232,282 8,637 0.07%
712 JP ENERGY PARTNERS LP UNT REPST LTD 1,634,910 8,779 0.07%
713 CROWN HOLDINGS INC 180,143 8,933 0.07%
714 BIOGEN INC 34,595 9,007 0.07%
715 HUMANA INC 49,522 9,060 0.07%
716 DELPHI AUTOMOTIVE PLC 122,348 9,179 0.07%
717 SPROUTS FMRS MKT INC 317,405 9,217 0.07%
718 PEPSICO INC 91,104 9,336 0.07%
719 HEALTHSOUTH CORP 249,104 9,374 0.07%
720 GLOBAL PMTS INC 144,684 9,448 0.07%
721 AMPHENOL CORP NEW 164,306 9,500 0.07%
722 CARDTRONICS INC. 264,242 9,510 0.07%
723 STARBUCKS CORP 162,021 9,673 0.07%
724 SHELL MIDSTREAM PARTNERS L P 264,696 9,690 0.07%
725 ISHARES TR 137,209 9,733 0.08%
726 GASLOG LTD 1,000,000 9,740 0.08%
727 NRG YIELD INC 719,760 9,768 0.08%
728 EMERSON ELEC CO 181,066 9,848 0.08%
729 EQT CORP 149,312 10,043 0.08%
730 WEYERHAEUSER CO 325,428 10,082 0.08%
731 BERRY GLOBAL GROUP INC 279,453 10,102 0.08%
732 TE CONNECTIVITY LTD 163,665 10,135 0.08%
733 BROWN FORMAN CORP 103,850 10,225 0.08%
734 HD SUPPLY 310,812 10,279 0.08%
735 TARGET CORP 125,547 10,330 0.08%
736 MCDONALDS CORP 82,405 10,356 0.08%
737 MOHAWK INDS INC 55,366 10,570 0.08%
738 BANK AMER CORP 787,942 10,654 0.08%
739 ISHARES TR 96,194 10,660 0.08%
740 CARTER INC 101,283 10,673 0.08%
741 TRACTOR SUPPLY CO 118,624 10,730 0.08%
742 EXXON MOBIL CORP 128,682 10,757 0.08%
743 KANSAS CITY SOUTHERN 126,249 10,788 0.08%
744 ALTRIA GROUP INC 172,289 10,795 0.08%
745 ISHARES TR 98,702 10,919 0.08%
746 3M CO 65,747 10,956 0.08%
747 AMERICAN TOWER CORP NEW 107,549 11,010 0.09%
748 POWERSHARES QQQ TRUST 100,956 11,024 0.09%
749 EURONET WORLDWIDE INC 149,424 11,073 0.09%
750 FOOT LOCKER INC 171,921 11,089 0.09%
Page 15 of 19