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Institutional Investment Manager
SG Americas Securities, LLC
SG Americas Securities, LLC (CIK: 0001313360) incorporated in Delaware, located at 245 Park Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Original 13F HR (0001313360-17-000003) filed in 2017.05.10
#
Name
Shares
Value ($)
%
Options
Notes
151 SPDR S&P MIDCAP 400 ETF TR 106,543 33,286 0.29%
152 COCA COLA CO 743,682 31,562 0.28%
153 AMERICAN EXPRESS CO 390,327 30,879 0.27%
154 ISHARES TR 256,737 30,272 0.27%
155 ISHARES TR 376,573 29,557 0.26%
156 ANTHEM INC 175,272 28,986 0.26%
157 SUNTRUST BKS INC 521,283 28,827 0.25%
158 FLOWSERVE CORP 589,738 28,555 0.25%
159 AMGEN INC 171,993 28,219 0.25%
160 PHILIP MORRIS INTL INC 241,292 27,242 0.24%
161 METLIFE INC 504,253 26,635 0.24%
162 MARRIOTT INTL INC NEW 272,340 25,649 0.23%
163 ISHARES TR 4,477,800 24,775 0.22% Call
164 SPDR S&P 500 ETF Call Opt 09/17 260.0 2,163,300 24,690 0.22% Call
165 QUALCOMM INC 413,642 23,718 0.21%
166 ALIBABA GROUP HLDG LTD 3,076,800 23,696 0.21% Call
167 CERNER CORP 400,861 23,591 0.21%
168 ISHARES TR 203,704 23,414 0.21%
169 NIKE INC 411,225 22,918 0.20%
170 TESLA INC 82,215 22,880 0.20%
171 AETNA INC NEW 171,778 21,910 0.19%
172 SPDR SERIES TRUST 511,751 21,616 0.19%
173 HP INC 1,207,666 21,593 0.19%
174 BROADCOM LTD 97,155 21,273 0.19%
175 MONDELEZ INTL INC 486,911 20,976 0.19%
176 SCHLUMBERGER LTD 266,551 20,818 0.18%
177 KINDER MORGAN INC DEL 953,575 20,731 0.18%
178 SELECT SECTOR SPDR TR 645,837 20,408 0.18%
179 Micron Technology Inc Call Opt 07/17 23.0 1,242,500 20,267 0.18% Call
180 ALTRIA GROUP INC 282,294 20,161 0.18%
181 BEST BUY INC 408,471 20,076 0.18%
182 CHENIERE ENERGY INC 413,289 19,536 0.17%
183 PRAXAIR INC 164,037 19,455 0.17%
184 MEDTRONIC PLC 237,807 19,158 0.17%
185 ORACLE CORP 424,690 18,945 0.17%
186 KRAFT HEINZ CO 208,494 18,933 0.17%
187 ISHARES TR 165,136 18,792 0.17%
188 BLACK HILLS CORP 255,000 18,712 0.17%
189 ABBVIE INC 286,980 18,700 0.17%
190 VANGUARD BD INDEX FDS 229,942 18,644 0.16%
191 KIMBERLY CLARK CORP 141,322 18,602 0.16%
192 HI-CRUSH PARTNERS LP 1,056,518 18,331 0.16%
193 EBAY INC 545,323 18,306 0.16%
194 CONSOLIDATED EDISON INC 230,311 17,886 0.16%
195 BRISTOL MYERS SQUIBB CO 1,968,000 17,828 0.16% Put
196 ISHARES INC 555,473 17,764 0.16%
197 ALLERGAN PLC 73,910 17,659 0.16%
198 ISHARES 8,688,000 17,616 0.16% Put
199 DELL TECHNOLOGIES INC 273,850 17,548 0.16%
200 XILINX INC 303,111 17,547 0.16%
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