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Institutional Investment Manager
SONORA INVESTMENT MANAGEMENT, LLC
SONORA INVESTMENT MANAGEMENT, LLC (CIK: 0001418539). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001415889-16-006500) filed in 2016.07.15
#
Name
Shares
Value ($)
%
Options
Notes
351 FIRST TR COMBINED SER 30 27,569 0.01%
352 GENERAL ELEC CAP CORP REDEMPTION $25/SH 3/1/18 1,000 27,450 0.01%
353 UNIV TX UNIV 25,000 27,424 0.01%
354 NXP SEMICONDUCTORS N V 350 27,419 0.01%
355 AUSTIN TX CMNTY 25,000 27,382 0.01%
356 YAVAPAI CN AZ CCD 25,000 27,293 0.01%
357 AUSTRALIA & NEW ZEALAND BANK GROUP SPON ADR NPV 1 FOR 1 SHS 1,500 27,135 0.01%
358 NEW YORK CMNTY BANCORP INC 1,800 26,982 0.01%
359 WELLS FARGO & CO PFD 1,000 26,920 0.01%
360 TIME WARNER INC 20,000 26,880 0.01%
361 HEWLETT-PACKARD CO 25,000 26,824 0.01%
362 General Elec Cap 1,000 26,820 0.01%
363 Hartford Financial 850 26,784 0.01%
364 ASSOCIATED BANC PFD 1,000 26,777 0.01%
365 MS ST UNIV ED BLD 25,000 26,720 0.01%
366 CLARK CNTY NEV 25,000 26,659 0.01%
367 SALT RIVER PRJ AZ 25,000 26,624 0.01%
368 SALESFORCE COM INC 334 26,523 0.01%
369 DEKALB CN IL CUSD #4 25,000 26,488 0.01%
370 CENTRAL WA UNIV SYS 25,000 26,471 0.01%
371 MARICOPA AZ CCD 25,000 26,281 0.01%
372 Wells Fargo & Co New 945 26,243 0.01%
373 CARE CAP PPTYS INC 1,000 26,210 0.01%
374 PHOENIX AZ CVC IMP 25,000 26,098 0.01%
375 GOODYEAR AZ PUB IMP 25,000 26,007 0.01%
376 MARION COUNTY FL 25,000 25,776 0.01%
377 IRVINE CA SPL T 25,000 25,700 0.01%
378 WESLACO TX 25,000 25,692 0.01%
379 MORGAN STANLEY 25,000 25,619 0.01%
380 CANADIAN APARTMENT PPTYS 1,000 25,610 0.01%
381 US TREASURY 17,000 25,564 0.01%
382 ENERGY TRANSFER PRTNRS L P 670 25,507 0.01%
383 UINV S AL 25,000 25,471 0.01%
384 NATL GEN PFD 1,000 25,460 0.01%
385 VERMILION ENERGY INC 800 25,456 0.01%
386 Allstate Corp Dep 940 25,389 0.01%
387 MS DEV BK SPL OBG 25,000 25,324 0.01%
388 FL DEP OF CHILD/FAM 25,000 25,299 0.01%
389 RESMED INC 400 25,292 0.01%
390 ANCHORAGE AK 25,000 25,286 0.01%
391 METRO WA DC ARPT 25,000 25,281 0.01%
392 ALPS ETF TR 1,981 25,204 0.01%
393 BINGHAMTON NY SD 25,000 25,146 0.01%
394 AVONDALE AZ MDC 25,000 25,100 0.01%
395 NOVATO CA RDA 25,000 25,024 0.01%
396 AZ TRANS EXCISE TAX 25,000 25,003 0.01%
397 TUCSON AZ WTR 25,000 25,003 0.01%
398 MARICOPA AZ USD #97 25,000 25,003 0.01%
399 Vodafone Group New ADR 800 24,712 0.01%
400 HORIZON PHARMA PLC 1,500 24,705 0.01%
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