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Institutional Investment Manager
Veritable, L.P.
Veritable, L.P. (CIK: 0001300311) incorporated in Delaware, located at C/O The Corporation Trust Company, Wilmington, DE. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001172661-16-003386) filed in 2016.05.16
#
Name
Shares
Value ($)
%
Options
Notes
401 ROSS STORES INC 10,069 583 0.02%
402 UNILEVER PLC 12,868 581 0.02%
403 Hp Inc 47,102 580 0.02%
404 BARD C R INC 2,855 579 0.02%
405 EDISON INTL 8,052 579 0.02%
406 Equinix 1,751 579 0.02%
407 Starwood Htls & Rsrts Wrldwde (new) 6,926 578 0.02%
408 POWERSHARES ETF TRUST 14,035 572 0.01%
409 ISHARES TR 61,161 571 0.01%
410 EMERG MKTS EQUITY INCOME FUND 16,362 570 0.01%
411 MOTOROLA SOLUTIONS INC 7,510 569 0.01%
412 TransCanada Corp 14,454 568 0.01%
413 TELEF BRASIL - ADR 45,224 565 0.01%
414 FRANKLIN RESOURCES INC 14,431 564 0.01%
415 PIONEER NAT RES CO 3,998 563 0.01%
416 EMBRAER S A SPONSORED ADR REPS 21,346 563 0.01%
417 Discovery Communications 19,591 561 0.01%
418 HORNBECK OFFSHORE SVCS IN 56,205 558 0.01%
419 LINEAR TECHNOLOGY CORP 12,505 557 0.01%
420 ILLUMINA INC 3,438 557 0.01%
421 L BRANDS INC 6,259 550 0.01%
422 AMERISOURCEBERGEN CORP 6,280 544 0.01%
423 ANALOG DEVICES INC 9,176 543 0.01%
424 DR PEPPER SNAPPLE GROUP INC 6,031 539 0.01%
425 COCA COLA ENTERPRISES INC NE 10,632 539 0.01%
426 SPDR S&P China ETF 7,680 536 0.01%
427 Eaton Vance Ltd Duration Incom 40,570 535 0.01%
428 Marriott Vacations 7,891 533 0.01%
429 H C P INC REIT 16,322 532 0.01%
430 FORTRESS TRANS INFRST INVS L 53,416 531 0.01%
431 EPR Properties 7,857 523 0.01%
432 GENUINE PARTS CO 5,183 515 0.01%
433 Ameriprise Financial 5,440 511 0.01%
434 VENTAS INC REIT 8,108 510 0.01%
435 COLONY STARWOOD HOMES 20,535 508 0.01%
436 CROWN HOLDINGS INC 10,248 508 0.01%
437 Tesla Inc 2,186 502 0.01%
438 KLA-TENCOR CORP 6,878 501 0.01%
439 CHURCH & DWIGHT 5,432 501 0.01%
440 INGERSOLL-RAND PLC 8,041 499 0.01%
441 NOBLE ENERGY INC 15,856 498 0.01%
442 MSC INDL DIRECT INC 6,524 498 0.01%
443 ENI S P A 16,333 494 0.01%
444 Tesoro Logistics LP 10,755 491 0.01%
445 AMERICAN AIRLINES GROUP INC 11,935 489 0.01%
446 DEVON ENERGY CORP NEW 17,563 482 0.01%
447 SUNSTONE HOTEL INVS INC NEW 34,271 480 0.01%
448 PARKER HANNIFIN CORP 4,318 480 0.01%
449 BOSTON SCIENTIFIC CORP 25,462 479 0.01%
450 MEAD JOHNSON NUTRITION CO 5,622 478 0.01%
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