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Institutional Investment Manager
BRIGHTON JONES LLC
BRIGHTON JONES LLC (CIK: 0001360798) incorporated in Washington, located at 2030 1st Avenue, Seattle, WA. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Portfolio Summary: 100 holdings with a total value of $413,455,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 AMAZON COM INC 173,971 154,232,000 37.30% SH
2 ISHARES RUSSELL 1000 ETF 280,313 36,791,000 8.90% SH
3 ISHARES RUSSELL 3000 ETF 208,149 29,120,000 7.04% SH
4 ISHARES TR 116,482 16,014,000 3.87% SH
5 ISHARES TR 253,923 15,817,000 3.83% SH
6 ISHARES TR 135,747 15,448,000 3.74% SH
7 MICROSOFT CORP 190,523 12,548,000 3.03% SH
8 ISHARES TR 51,576 12,237,000 2.96% SH
9 ISHARES TR 54,408 10,184,000 2.46% SH
10 ISHARES MSCI EAFE SMALL CAP IDX FD 187,477 10,150,000 2.45% SH
11 ISHARES TR 182,131 9,841,000 2.38% SH
12 APPLE INC 60,438 8,683,000 2.10% SH
13 ISHARES TR 95,464 6,634,000 1.60% SH
14 ISHARES TR 132,773 5,230,000 1.26% SH
15 INTEL CORP 129,025 4,654,000 1.13% SH
16 BERKSHIRE HATHAWAY INC DEL 27,232 4,539,000 1.10% SH
17 GREENBRIER COS INC 71,677 3,089,000 0.75% SH
18 GENERAL ELECTRIC CO 99,667 2,970,000 0.72% SH
19 ISHARES RUSSELL 2000 GROWTH ETF 17,552 2,837,000 0.69% SH
20 JOHNSON & JOHNSON 18,130 2,258,000 0.55% SH
21 HOME DEPOT INC 14,476 2,125,000 0.51% SH
22 INTERNATIONAL BUSINESS MACHS 10,879 1,895,000 0.46% SH
23 ISHARES TR 16,297 1,868,000 0.45% SH
24 ISHARES TR 17,079 1,772,000 0.43% SH
25 ISHARES TR 20,521 1,703,000 0.41% SH
26 NIKE INC 27,625 1,540,000 0.37% SH
27 ISHARES TR 13,148 1,511,000 0.37% SH
28 ISHARES TR 12,737 1,382,000 0.33% SH
29 DISNEY WALT CO 16,392 1,321,000 0.32% SH
30 BERKSHIRE HATHAWAY INC DEL 5 1,249,000 0.30% SH
31 ISHARES TR 18,159 1,149,000 0.28% SH
32 BOEING CO 6,444 1,140,000 0.28% SH
33 BANK AMER CORP 47,953 1,131,000 0.27% SH
34 ISHARES TR 6,525 1,117,000 0.27% SH
35 ISHARES 5-10 YEAR INVESTMENT GRADE CORPORATE BOND ETF 9,413 1,026,000 0.25% SH
36 ISHARES TR 24,414 945,000 0.23% SH
37 CELGENE CORP 7,555 940,000 0.23% SH
38 MCDONALDS CORP 7,189 932,000 0.23% SH
39 NORDSTROM INC 19,386 903,000 0.22% SH
40 CHEVRON CORP NEW 8,183 879,000 0.21% SH
41 ISHARES TR 12,135 839,000 0.20% SH
42 COCA COLA CO 17,817 756,000 0.18% SH
43 CVS HEALTH CORP 9,591 753,000 0.18% SH
44 BRISTOL MYERS SQUIBB CO 13,596 739,000 0.18% SH
45 LOCKHEED MARTIN CORP 2,684 718,000 0.17% SH
46 ALASKA AIR GROUP INC 7,561 697,000 0.17% SH
47 LILLY ELI & CO 8,238 693,000 0.17% SH
48 ARISTA NETWORKS INC 4,801 635,000 0.15% SH
49 CITIGROUPINC 10,438 624,000 0.15% SH
50 CEB Inc 7,634 600,000 0.15% SH
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001360798-17-000002, filed 2017.05.17).

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.