Dark
Light
System
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 (2015Q3)
Portfolio Summary: 1,087 holdings with a total value of $4,550,792,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 MYRIAD GENETICS INC 731,446 27,414,000 0.60%
52 ISHARES TR 248,187 27,188,000 0.60%
53 WISDOMTREE TR 489,990 26,777,000 0.59%
54 INTUIT 300,920 26,706,000 0.59%
55 ISHARES TR 459,642 26,346,000 0.58%
56 AKAMAI TECHNOLOGIES INC 372,272 25,709,000 0.56%
57 EXXON MOBIL CORP 339,559 25,246,000 0.55%
58 MONDELEZ INTL INC 600,462 25,141,000 0.55%
59 WHOLE FOODS MKT INC 784,913 24,842,000 0.55%
60 BERKSHIRE HATHAWAY INC DEL 189,414 24,699,000 0.54%
61 PEARSON PLC 1,439,179 24,696,000 0.54%
62 ISHARES TR 321,961 23,422,000 0.51%
63 VANGUARD INDEX FDS 233,792 23,079,000 0.51%
64 ZIMMER BIOMET HLDGS INC 241,778 22,710,000 0.50%
65 ISHARES TR 196,691 21,553,000 0.47%
66 RYMAN HOSPITALITY PPTYS INC 412,580 20,311,000 0.45%
67 LENNAR 417,218 20,080,000 0.44%
68 ISHARES TR 65,413 19,841,000 0.44%
69 KKR & CO LP COMMON UNITS 1,161,305 19,486,000 0.43%
70 PROCTER AND GAMBLE CO 268,980 19,350,000 0.43%
71 ALTRIA GROUP INC 351,777 19,136,000 0.42%
72 EXPEDITORS INTL WASH INC 394,872 18,578,000 0.41%
73 MERCK & CO INC 371,307 18,338,000 0.40%
74 AMERICAN CAMPUS CMNTYS INC 502,460 18,209,000 0.40%
75 DISCOVERY COMMUNICATNS NEW 724,165 17,589,000 0.39%
76 COCA COLA CO 433,292 17,383,000 0.38%
77 HUNT J B TRANS SVCS INC 242,457 17,311,000 0.38%
78 NCR CORP NEW 723,788 16,466,000 0.36%
79 FIRST TR EXCHANGE TRADED FD 745,158 16,341,000 0.36%
80 AUTODESK INC 361,862 15,972,000 0.35%
81 ALPS ETF TR 625,059 15,063,000 0.33%
82 FIRST TR LRGE CP CORE ALPHA 342,600 14,327,000 0.31%
83 Ishares - Japan 1,244,056 14,219,000 0.31%
84 PIMCO ETF TR 132,432 13,966,000 0.31%
85 WAL-MART STORES INC 214,377 13,900,000 0.31%
86 CHEVRON CORP NEW 164,821 13,001,000 0.29%
87 WISDOMTREE TR 189,565 12,757,000 0.28%
88 REYNOLDS AMERICAN INC 287,610 12,732,000 0.28%
89 NATIONAL GRID PLC 175,245 12,202,000 0.27%
90 SOUTHERN CO 269,540 12,048,000 0.26%
91 AMERICAN EXPRESS CO 159,025 11,788,000 0.26%
92 POWERSHARES ETF TRUST 292,455 11,750,000 0.26%
93 DUKE ENERGY CORP NEW 156,828 11,282,000 0.25%
94 ISHARES 5-10 YEAR INVESTMENT GRADE CORPORATE BOND ETF 99,336 10,787,000 0.24%
95 ISHARES TR 124,107 10,547,000 0.23%
96 VISA INC 150,622 10,492,000 0.23%
97 KRAFT HEINZ CO 145,824 10,292,000 0.23%
98 GILEAD SCIENCES INC 103,717 10,184,000 0.22%
99 POWERSHARES QQQ TRUST 98,145 9,987,000 0.22%
100 LOWES COS INC 142,966 9,853,000 0.22%
Page 2 of 22

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000092230-15-000089, filed 2015.10.20).

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.