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Institutional Investment Manager
Janney Montgomery Scott LLC
Janney Montgomery Scott LLC (CIK: 0001329948), located at 1717 Arch Street, Philadelphia, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001329948-14-000008) filed in 2014.11.14
#
Name
Shares
Value ($)
%
Options
Notes
101 Pimco Funds Commodity Real Rtrn Cl P 18,418 95,959 0.00%
102 ALPINE TOTAL DYNAMIC DIVID F 11,290 96,078 0.00%
103 EXCO RESOURCES INC 28,768 96,085 0.00%
104 WF STRAT MUN BD A 10,638 96,382 0.00%
105 FT CAP STRG BYWR 16 FECA 10,176 96,747 0.00%
106 MFA FINANCIAL INC COM 12,442 96,799 0.00%
107 BYD CO H CNY1 14,900 98,489 0.00%
108 GS HI YLD C 14,058 98,831 0.00%
109 NUVEEN INTERMEDIATE DURATION MUNI BOND CLASS I 10,991 101,668 0.00%
110 GUGG ZACKS INC 23 FE CA 10,648 101,757 0.00%
111 FT SBRNT FRWD LOOK2 FERE 10,583 101,886 0.00%
112 EV FLTG RT MUN INCM A 10,332 102,497 0.00%
113 FRK US GOV SECS ADVS 15,850 103,028 0.00%
114 ADT INFL INCM 13-4 FE CA 10,236 103,493 0.00%
115 WILM SHRT TRM CORP BD I 10,208 104,220 0.00%
116 FT TGT VIP 2Q14 FE RE 10,240 104,294 0.00%
117 PUTNAM ABSOL RET 100 A 10,195 104,499 0.00%
118 FIRST EAGLE HI YLD A 10,497 104,968 0.00%
119 CUSHING MLP TOTAL RETURN FUND 12,216 105,427 0.00%
120 WILM BROAD MKT BD I 10,925 105,649 0.00%
121 TRANSALTA CORP 10,119 106,249 0.00%
122 ALLIANCE BERNSTEIN INCOME FUND ADVISOR 14,208 106,557 0.00%
123 TCW EMERGING MARKETS INCOME FUND 12,605 107,017 0.00%
124 PIONEER GLB HI YLD Y 11,105 107,609 0.00%
125 FT REIT GRW SEL 29 FE RE 11,896 107,692 0.00%
126 SWIFT ENERGY CO 11,250 108,000 0.00%
127 Lord Abbett Invt Tr Income Fd Cl F 37,124 108,030 0.00%
128 DREYFUS STRATEGIC MUNS INCORPORATED 13,000 108,852 0.00%
129 Lord Abbett Invt Duration US Govt Sec C 23,991 108,918 0.00%
130 PRIN HI YLD P 14,194 109,013 0.00%
131 Putnam Fds Tr Short Duration Incm Cl Y 10,830 109,058 0.00%
132 NORTHERN 11,506 109,309 0.00%
133 AMBEV SA 16,800 110,040 0.00%
134 INOVIO PHARMACEUTICALS INC 11,250 110,813 0.00%
135 PACIFIC COAST OIL TR 10,892 111,643 0.00%
136 ADT INFL INCM 13-3 CA 11,418 111,861 0.00%
137 MORGAN CRK TACT ALLOC I 10,771 112,557 0.00%
138 VALLEY NATL BANCORP 11,639 112,782 0.00%
139 BTG PLC 10,000 113,480 0.00%
140 TWO HBRS INVT CORP 11,786 113,968 0.00%
141 FT TGT GLB DVD 3Q FE RE 12,374 114,358 0.00%
142 CALLON PETE CO DEL 13,000 114,530 0.00%
143 FID INTL RL EST 11,171 114,721 0.00%
144 FID ADVS SHRT FXD INCM I 12,389 115,838 0.00%
145 PRINCIPAL FDS INC 11,928 116,061 0.00%
146 Western Asset Fds Inc Asset Absol Cl I 10,850 116,530 0.00%
147 EV PA MUN INCM I 12,855 116,851 0.00%
148 NUVEEN DIVER CURRENCY OPPOR FD 10,986 117,111 0.00%
149 FEDERATED EQUITY FDS KAUFMANN 18,287 117,585 0.00%
150 Wasatch Emerging Markets Small Cap 42,973 117,745 0.00%
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