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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
401 TE CONNECTIVITY LTD 3,977 219,888 0.02%
402 TELEFONAKTIEBOLAGET LM ERICS 454 5,716 0.00%
403 TELEFONICA S A 375 5,764 0.00%
404 TELEPHONE & DATA SYS INC SR NT 61 2,500 56,625 0.01%
405 TELEPHONE & DATA SYSTEM 7.000 2,500 62,550 0.01%
406 TEMPLETON DEVELOPING MKTS TRSH 124 2,709 0.00%
407 TEMPLETON GTH FUND INC 1,583 39,828 0.00%
408 TENET HEALTHCARE CORP 30 1,782 0.00%
409 TENNECO INC 34 1,779 0.00%
410 TESORO LOGISTICS LP 1,926 136,303 0.01%
411 TEVA PHARMACEUTICAL INDS LTD 1,400 75,250 0.01%
412 TEXAS INSTRS INC 52,395 2,498,718 0.27%
413 TEXTRON INC 3,800 136,762 0.01%
414 TIFFANY 170,144 16,386,569 1.75%
415 TIME INC NEW 2 47 0.00%
416 TIME WARNER CABLE INC 5 717 0.00%
417 TIME WARNER INC 20 1,504 0.00%
418 TJX COS INC NEW 450 26,627 0.00%
419 TOTAL S A 1,600 103,120 0.01%
420 TOYOTA MOTOR CORP 100 11,753 0.00%
421 TRANSCANADA CORP 7,752 399,461 0.04%
422 TRAVELERS COMPANIES INC 8,388 787,969 0.08%
423 TRINITY INDS INC 1,200 56,064 0.01%
424 TWENTY FIRST CENTY FOX INC 6 206 0.00%
425 TYCO INTL LTD. 2,252 100,372 0.01%
426 Targa Resources Partners LP 2,021 146,219 0.02%
427 Telenor ASA ADR OTC 14 922 0.00%
428 Titan Pharmaceuticals Inc. 1,000 555 0.00%
429 UNILEVER PLC 601 25,182 0.00%
430 UNION PAC CORP 260,243 28,215,546 3.02%
431 UNITED TECHNOLOGIES CORP 105,670 11,158,752 1.19%
432 UNITEDHEALTH GROUP INC 40,418 3,486,053 0.37%
433 US BANCORP DEL 122,363 5,118,444 0.55%
434 US BANCORP PFD SER H CALLABLE 6,000 135,240 0.01%
435 V F CORP 1,300 85,839 0.01%
436 VALIDUS HOLDINGS LTD 778 30,451 0.00%
437 VALLEY NATL BANCORP 9,654 93,547 0.01%
438 VARIAN MED SYS INC 1,200 96,144 0.01%
439 VECTRUS INC 38 742 0.00%
440 VENTAS INC 7 434 0.00%
441 VEON LTD 2,000 14,440 0.00%
442 VERITIV CORP 4 200 0.00%
443 VERIZON COMMUNICATIONS INC 405,827 20,287,292 2.17%
444 VERTEX PHARMACEUTICALS INC 90 10,108 0.00%
445 VIACOM INC NEW 110 8,463 0.00%
446 VISA INC 1,670 356,328 0.04%
447 VODAFONE GROUP PLC NEW 4,209 138,434 0.01%
448 VORNADO REAL 6.875% PFD 2,500 66,075 0.01%
449 VULCAN MATLS CO 3,031 182,557 0.02%
450 Vanguard 500 Index 98 17,835 0.00%
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