Dark
Light
System
Institutional Investment Manager
Estabrook Capital Management
Estabrook Capital Management (CIK: 0001344717) incorporated in Delaware, located at 900 Third Avenue, Suite 502, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001344717-14-000008) filed in 2014.11.13
#
Name
Shares
Value ($)
%
Options
Notes
251 Citigroup Inc 2,600 61,880 0.01%
252 Stanley Black & 2,500 61,700 0.01%
253 GASLOG PARTNERS LP 2,000 61,400 0.01%
254 BARCLAYS BANK 2,350 61,030 0.01%
255 Citigroup Inc 2,400 60,984 0.01%
256 Ventas RLTY LTD 2,500 60,225 0.01%
257 CITIGROUP PFD N 2,200 59,224 0.01%
258 PIONEER NATURAL 300 59,091 0.01%
259 Suntrust BKS Inc 2,500 57,625 0.01%
260 WPX ENERGY INC 2,382 57,311 0.01%
261 MOODYS CORP 600 56,700 0.01%
262 TELEPHONE & DATA SYSTEM 5.875 2,500 56,625 0.01%
263 TRINITY INDUSTRIES INC 1,200 56,064 0.01%
264 DICKS SPORTING 1,250 54,850 0.01%
265 Goldman Sachs Group Inc 2,000 53,860 0.01%
266 BOSTON SCIENTIFIC 4,559 53,842 0.01%
267 ITAU UNIBANCO 3,825 53,091 0.01%
268 STANLEY BLACK 591 52,475 0.01%
269 Applied Materials 2,412 52,123 0.01%
270 Mondelez Intl 1,507 51,637 0.01%
271 Comcast Corp New NT 2,000 50,300 0.01%
272 KIMCO RLTY CORP 2,000 49,900 0.01%
273 Public Storage 2,000 49,640 0.01%
274 SUBURBAN PROPANE PARTNERS L 1,100 49,005 0.01%
275 WELLS FARGO & CO PFD 1,900 47,196 0.01%
276 NRG Yield Inc 1,000 47,050 0.01%
277 AMERICAN ELECTRIC POWER 900 46,989 0.01%
278 DEUTSCHE BK CAP FUND IX PFD 1,844 46,819 0.01%
279 JPMorgan Chase & Co 2,000 45,400 0.00%
280 Public Storage Dep 2,000 45,180 0.00%
281 HUNTINGTON BANCSHARES 4,500 43,785 0.00%
282 Johnson Controls Inc 976 42,944 0.00%
283 FIRST EAGLE FDS INC OVERSEAS F 1,849 42,083 0.00%
284 BHP Billiton Ltd ADR 700 41,216 0.00%
285 Adt Corp 1,147 40,673 0.00%
286 TEMPLETON GTH FUND INC 1,583 39,828 0.00%
287 SCANA CORP 800 39,688 0.00%
288 PENTAIR PLC 601 39,359 0.00%
289 ABERDEEN GTR CHINA FD INC 9999 3,731 38,690 0.00%
290 AMEREN CORP 1,000 38,330 0.00%
291 Morgan Stanley Capital Trust IV Pfd 1,500 37,755 0.00%
292 Celgene Corp 398 37,722 0.00%
293 Ally Financial 8.5% Pref 1,400 37,702 0.00%
294 SANDISK CORP 382 37,417 0.00%
295 SIEMENS A.G. ADR 300 35,764 0.00%
296 Bard C R Incorporated 250 35,678 0.00%
297 AMERICAN AIRLINES 1,000 35,480 0.00%
298 MORGAN STANLEY CAP TR V 5.75% 1,350 33,764 0.00%
299 JPMorgan Chase & Co 1,350 33,683 0.00%
300 MKS INSTRS INC 1,000 33,380 0.00%
Page 6 of 10