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Institutional Investment Manager
Broderick Brian C
Broderick Brian C (CIK: 0001314376). Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 105 holdings with a total value of $241,005,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 V F CORP 20,500 1,544,000 0.64%
52 NEUBERGER BERMAN ALTERN LONG S 117,004 1,544,000 0.64%
53 RBB FD INC 106,274 1,633,000 0.68%
54 SIGMA ALDRICH 11,860 1,640,000 0.68%
55 BRISTOL MYERS SQUIBB CO 25,467 1,642,000 0.68%
56 ABBVIE INC 29,710 1,741,000 0.72%
57 FPA CRESCENT FUND 52,269 1,766,000 0.73%
58 SPDR PORTFOLIO S&P 1500 COMPOSITE STOCK MARKET ETF 11,653 1,815,000 0.75%
59 HONEYWELL INTL INC 17,579 1,834,000 0.76%
60 MERCK & CO INC 32,433 1,863,000 0.77%
61 XYLEM INC 53,565 1,876,000 0.78%
62 MICROSOFT CORP 47,517 1,933,000 0.80%
63 UNION PAC CORP 19,034 2,062,000 0.86%
64 IPG PHOTONICS CORP 24,375 2,260,000 0.94%
65 MONSANTO CO 20,132 2,265,000 0.94%
66 DEERE & CO 26,682 2,341,000 0.97%
67 AQR FDS 238,909 2,382,000 0.99%
68 NEUBERGER BERMAN ABSOLUTE RETURN MULTI MNGR 222,761 2,444,000 1.01%
69 IRONWOOD PHARMACEUTICALS INC 156,345 2,502,000 1.04%
70 PERRIGO CO PLC 15,340 2,539,000 1.05%
71 TARGET CORP 31,200 2,561,000 1.06%
72 PEMBINA PIPELINE CORP 83,780 2,654,000 1.10%
73 GENERAL ELECTRIC CO 109,583 2,719,000 1.13%
74 CISCO SYSTEMS INC 100,487 2,766,000 1.15%
75 XILINX INC 67,450 2,853,000 1.18%
76 SCHLUMBERGER LTD 39,082 3,262,000 1.35%
77 JOHNSON CTLS INTL PLC 65,195 3,288,000 1.36%
78 ABBOTT LABS 77,830 3,606,000 1.50%
79 HELMERICH & PAYNE INC 53,159 3,620,000 1.50%
80 MASTERCARD INCORPORATE 42,615 3,682,000 1.53%
81 QUALCOMM INC 55,080 3,819,000 1.58%
82 PEPSICO INC 41,123 3,932,000 1.63%
83 NXP SEMICONDUCTORS N V 39,403 3,954,000 1.64%
84 E M C CORP MASS COM 157,772 4,032,000 1.67%
85 FISERV INC 52,609 4,176,000 1.73%
86 ORACLE CORPORATION 101,456 4,379,000 1.82%
87 NOVOZYMES A S DKK 2.0 99,600 4,559,000 1.89%
88 ROCHE HOLDING LTD SPONSORED AD 133,113 4,575,000 1.90%
89 ROCKWELL AUTOMATION INC 40,452 4,693,000 1.95%
90 UNITED TECHNOLOGIES CORP 40,258 4,718,000 1.96%
91 CHEVRON CORP NEW 46,416 4,872,000 2.02%
92 INTEL CORP 170,738 5,339,000 2.22%
93 HOME DEPOT INC 48,527 5,513,000 2.29%
94 APTARGROUP INC 89,054 5,656,000 2.35%
95 APPLE INC 46,698 5,810,000 2.41%
96 EMERSON ELEC CO 104,759 5,931,000 2.46%
97 AUTOMATIC DATA PROCESSING IN 79,943 6,847,000 2.84%
98 CANADIAN NATL RY CO 104,280 6,972,000 2.89%
99 NESTLE SA SPONSORED ADR REPSTG 94,449 7,105,000 2.95%
100 3M Co 48,478 7,997,000 3.32%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001314376-15-000002, filed 2015.05.22).

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.