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Institutional Investment Manager
BB&T SECURITIES, LLC
BB&T SECURITIES, LLC (CIK: 0001383161) incorporated in Delaware, located at 8006 Discovery Drive, Richmond, VA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 983 holdings with a total value of $41,989,777,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 VERIZON COMMUNICATIONS INC 1,495,406 731,701,000 1.74%
2 QUALCOMM INC 903,076 715,235,000 1.70%
3 CHEVRON CORP NEW 491,185 641,241,000 1.53%
4 NOVARTIS A G 683,470 618,744,000 1.47%
5 OCCIDENTAL PETE CORP DEL 601,121 616,930,000 1.47%
6 PEPSICO INC 678,249 605,947,000 1.44%
7 SPECTRA ENERGY CORP 1,421,558 603,877,000 1.44%
8 ENSCO PLC 1,083,497 602,099,000 1.43%
9 MCDONALDS CORP 597,244 601,663,000 1.43%
10 UNILEVER PLC 1,305,727 591,625,000 1.41%
11 KINDER MORGAN INC DEL 1,613,791 585,160,000 1.39%
12 METLIFE INC 1,024,770 569,362,000 1.36%
13 PFIZER INC 1,896,568 562,901,000 1.34%
14 MAXIM INTEGR 1,656,515 560,067,000 1.33%
15 BAXTER INTL INC 767,356 554,798,000 1.32%
16 MATTEL INC 1,364,300 531,667,000 1.27%
17 GENERAL MLS INC 1,006,714 528,927,000 1.26%
18 COCA COLA CO 1,247,858 528,592,000 1.26%
19 TRAVELERS COMPANIES INC 545,891 513,519,000 1.22%
20 PHILIP MORRIS INTL INC 608,448 512,982,000 1.22%
21 MICROSOFT CORP 1,158,402 483,053,000 1.15%
22 ACCENTURE PLC IRELAND 583,867 471,997,000 1.12%
23 ABBOTT LABS 1,124,166 459,784,000 1.09%
24 Anthem, Inc. 417,458 449,226,000 1.07%
25 CISCO SYS INC 1,652,323 410,602,000 0.98%
26 ABBVIE INC 725,458 409,448,000 0.98%
27 TIME WARNER INC NEW 277,148 408,239,000 0.97%
28 NCR CORP NEW 1,159,582 406,897,000 0.97%
29 APPLE INC 428,971 398,642,000 0.95%
30 UNITED PARCEL SERVICE INC 380,137 390,248,000 0.93%
31 DirectTV Com 420,706 357,642,000 0.85%
32 COMCAST CORP NEW 650,443 349,157,000 0.83%
33 OMNICOM GROUP INC 476,002 339,008,000 0.81%
34 CHECK POINT SOFTWARE TECH LT 505,450 338,803,000 0.81%
35 EBAY INC 671,471 336,138,000 0.80%
36 UNITEDHEALTH GROUP INC 401,841 328,505,000 0.78%
37 EOG RES INC 275,720 322,205,000 0.77%
38 FORD MTR CO DEL 1,854,184 319,661,000 0.76%
39 DISCOVERY COMMUNICATNS NEW 428,709 318,445,000 0.76%
40 CITRIX SYS INC 499,359 312,349,000 0.74%
41 INTUIT 385,684 310,591,000 0.74%
42 HALLIBURTON 424,863 301,694,000 0.72%
43 PEARSON PLC 1,511,958 299,518,000 0.71%
44 Nielsen Holdings B.V. 608,966 294,800,000 0.70%
45 VERISK ANALYTICS INC 489,032 293,517,000 0.70%
46 CBRE GROUP INC 891,710 285,703,000 0.68%
47 CAPITAL ONE FINL CORP 342,180 282,640,000 0.67%
48 SPDR S&P 500 ETF TR 136,382 266,927,000 0.64%
49 HCA HOLDINGS INC 456,339 257,283,000 0.61%
50 MONDELEZ INTL INC 674,792 253,789,000 0.60%
Page 1 of 20

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000092230-14-000044, filed 2014.07.11).

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.