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Institutional Investment Manager
J.P. Morgan Private Wealth Advisors LLC
J.P. Morgan Private Wealth Advisors LLC (CIK: 0001418204), located at 111 Pine Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001085146-14-002095) filed in 2014.11.06
#
Name
Shares
Value ($)
%
Options
Notes
201 ATLAS ENERGY LP 5,377 237 0.00%
202 S&P GLOBAL INC 2,807 237 0.00%
203 ZIONS BANCORPORATION 8,201 238 0.00%
204 FREEPORT-MCMORAN INC 7,305 239 0.00%
205 DST SYS INC DEL 2,855 240 0.00%
206 VITAMIN SHOPPE ORD 5,412 240 0.00%
207 BOSTON SCIENTIFIC CORP 20,378 241 0.00%
208 FEI CO COM 3,190 241 0.00%
209 OASIS PETE INC NEW 5,777 241 0.00%
210 Nomura Holdings Inc 41,015 242 0.00%
211 WESCO AIRCRAFT HLDGS INC COM 13,934 242 0.00%
212 CLAYMORE EXCHANGE TRD FD TR 10,319 243 0.00%
213 Skyworks Solutions 4,204 244 0.00%
214 TRACTOR SUPPLY CO 3,965 244 0.00%
215 Enbridge Energy Partners LP 6,290 244 0.00%
216 PROSHARES TR 7,770 245 0.00%
217 HAIN CELESTIAL GROUP INC 2,395 245 0.00%
218 HAWAIIAN ELEC INDUSTRIES COM 9,231 245 0.00%
219 KEURIG GREEN MTN INC 1,888 246 0.00%
220 ISHARES TR 6,710 247 0.00%
221 PACIRA PHARMACEUTICALS INC 2,560 248 0.00%
222 ORGANOVO HLDGS INC 39,000 248 0.00%
223 PIEDMONT NAT GAS INC 7,390 248 0.00%
224 MARKETAXESS HOLDINGS INC 4,028 249 0.00%
225 BARCLAYS PLC 16,780 249 0.00%
226 ST JUDE MED INC 4,151 250 0.00%
227 ISHARES TR 1,835 251 0.00%
228 STEPAN CO 5,645 251 0.00%
229 DICKS SPORTING GOODS INC 5,750 252 0.00%
230 REGIONS FINANCIAL CORP NEW 25,173 252 0.00%
231 VANGUARD STAR FDS 4,944 252 0.00%
232 INTEGRATED DEVICE TECHNOLOGY 15,879 253 0.00%
233 ISHARES TR 3,815 253 0.00%
234 RYDEX ETF TRUST 3,105 253 0.00%
235 NEW YORK CMNTY BANCORP INC 15,958 253 0.00%
236 ISHARES TR 7,105 254 0.00%
237 Broadridge Fincl Sol 6,094 254 0.00%
238 GLAXOSMITHKLINE PLC SPONSORED 5,528 254 0.00%
239 DOLBY LABORATORIES INC 6,089 254 0.00%
240 GREENBRIER COS INC 3,479 255 0.00%
241 BLACKROCK ENHANCED EQT DIV T 31,252 256 0.00%
242 DEVON ENERGY CORP NEW 3,764 256 0.00%
243 CONTROL4 CORP 19,907 257 0.00%
244 ISHARES TR 3,772 257 0.00%
245 DELTA AIRLINES INC DEL 7,084 257 0.00%
246 FORTINET INC 10,172 257 0.00%
247 PERKINELMER INC 5,915 258 0.00%
248 CANADIAN NAT RES LTD 6,631 258 0.00%
249 HENRY JACK & ASSOC INC 4,667 259 0.00%
250 NORTHSTAR RLTY FIN CORP COM NEW 14,696 260 0.00%
Page 5 of 31
Restatement filing (0001085146-14-002374) filed in 2014.11.21
#
Name
Shares
Value ($)
%
Options
Notes
1 ISHARES RUSSELL 1000 ETF 1,444,149 158,669 2.04%
2 APPLE INC 1,552,675 156,432 2.01%
3 APPLE INC 1,290,736 130,042 1.67%
4 CHEVRON CORP NEW 1,067,966 127,430 1.64%
5 Facebook Inc Cl A 1,342,635 106,122 1.36%
6 PROCTER AND GAMBLE CO 1,212,881 101,567 1.31%
7 SPDR S&P 500 ETF TR 475,680 93,718 1.21%
8 ISHARES TR 927,375 92,821 1.19%
9 GENERAL ELECTRIC CO 3,371,519 86,378 1.11%
10 LYONDELLBASELL INDUSTRIES N 740,718 80,486 1.04%
11 ISHARES TR 1,314,551 77,427 1.00%
12 PEPSICO INC 822,467 76,563 0.98%
13 EXXON MOBIL CORP 808,558 76,045 0.98%
14 ISHARES TR 1,263,959 74,447 0.96%
15 ISHARES TR 675,150 73,828 0.95%
16 ISHARES RUSSELL 3000 ETF 624,017 72,879 0.94%
17 INTERNATIONAL BUSINESS MACHS 372,654 70,741 0.91%
18 MICROSOFT CORP 1,482,138 68,712 0.88%
19 VERIZON COMMUNICATIONS INC 1,358,170 67,895 0.87%
20 UNITED TECHNOLOGIES CORP 639,054 67,484 0.87%
21 ISHARES TRUST S&P 100 ETF 735,262 64,820 0.83%
22 VANGUARD SPECIALIZED FUNDS 841,010 64,716 0.83%
23 WELLS FARGO & CO NEW 1,242,673 64,457 0.83%
24 JPMORGAN CHASE & CO 1,037,379 62,491 0.80%
25 PFIZER INC 2,103,391 62,197 0.80%
26 JOHNSON & JOHNSON 582,168 62,054 0.80%
27 INTEL CORP 1,758,425 61,229 0.79%
28 QUALCOMM INC 807,523 60,379 0.78%
29 VANGUARD INDEX FDS 316,537 57,163 0.74%
30 ISHARES TRUST S&P 100 ETF 626,468 55,230 0.71%
31 ISHARES TR 515,154 55,029 0.71%
32 PEMBINA PIPELINE CORP 1,264,745 53,296 0.69%
33 3M Co 370,688 52,519 0.68%
34 UNION PAC CORP 477,156 51,733 0.67%
35 CERNER CORP 856,931 51,047 0.66%
36 ACE LTD 475,288 49,843 0.64%
37 VANGUARD SPECIALIZED FUNDS 647,688 49,840 0.64%
38 CVS HEALTH CORP 613,715 48,846 0.63%
39 SCHLUMBERGER LTD 459,142 46,690 0.60%
40 FORD MTR CO DEL 3,083,230 45,601 0.59%
41 GILEAD SCIENCES INC 425,222 45,265 0.58%
42 AMGEN INC 314,213 44,134 0.57%
43 RPM INTL INC 952,340 43,598 0.56%
44 STARBUCKS CORP 577,583 43,585 0.56%
45 POWERSHARES QQQ TRUST 430,658 42,545 0.55%
46 ACCENTURE PLC IRELAND 521,424 42,402 0.55%
47 Alphabet Inc. Class C 70,551 41,513 0.53%
48 ALPHABET INC C NON VOTING SHAR 70,468 40,685 0.52%
49 NOVO-NORDISK A S 821,355 39,113 0.50%
50 NATIONAL OILWELL VARCO INC 498,469 37,933 0.49%
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