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Institutional Investment Manager
Parkside Financial Bank & Trust
Parkside Financial Bank & Trust (CIK: 0001455267) incorporated in Missouri, located at 8112 Maryland Ave, Saint Louis, MO. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 1,096 holdings with a total value of $205,431,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BLACKROCK INC 545 187,000 0.09%
152 CATERPILLAR INC 2,472 187,000 0.09%
153 COMCAST CORP NEW 2,853 186,000 0.09%
154 SPROTT PHYSICAL SILVER TR 25,400 184,000 0.09% PRN
155 MEDTRONIC PLC 2,075 180,000 0.09%
156 ASTRAZENECA PLC 5,935 179,000 0.09%
157 FACEBOOK INC 1,551 178,000 0.09%
158 SELECT SECTOR SPDR TR 3,193 176,000 0.09%
159 VANGUARD SCOTTSDALE FDS 2,185 176,000 0.09%
160 ENERGIZER HLDGS INC NEW COM 3,400 175,000 0.09%
161 S&P GLOBAL INC 1,620 174,000 0.08%
162 HONEYWELL INTL INC 1,461 170,000 0.08%
163 HSBC HLDGS PLC 5,263 165,000 0.08%
164 MONDELEZ INTL INC 3,554 161,000 0.08%
165 ULTIMATE SOFTWARE GROUP INCORPORATED 763 160,000 0.08%
166 SELECT SECTOR SPDR TR 2,834 159,000 0.08%
167 MAGELLAN MIDSTREAM PRTNRS LP 2,096 159,000 0.08%
168 SELECT SECTOR SPDR TR 3,417 158,000 0.08%
169 ISHARES TR 3,328 154,000 0.07%
170 MARRIOTT INTL INC NEW 2,309 154,000 0.07%
171 TJX COS INC NEW 1,991 154,000 0.07%
172 ISHARES U.S. UTILITIES ETF 1,150 151,000 0.07%
173 STERICYCLE INC 1,432 149,000 0.07%
174 WEYERHAEUSER CO 4,923 147,000 0.07%
175 CENTENE CORP DEL 2,055 147,000 0.07%
176 MANULIFE FINL CORP 10,790 147,000 0.07%
177 SELECT SECTOR SPDR TR 2,032 146,000 0.07%
178 ISHARES TR 2,202 146,000 0.07%
179 SELECT SECTOR SPDR TR 2,132 145,000 0.07%
180 ISHARES TR 972 145,000 0.07%
181 SELECT SECTOR SPDR TR 2,765 145,000 0.07%
182 JOHNSON CTLS INTL PLC 3,153 140,000 0.07%
183 UNITEDHEALTH GROUP INC 996 140,000 0.07%
184 NEWELL BRANDS 2,837 138,000 0.07%
185 COSTAR GROUP 627 137,000 0.07%
186 FASTENAL CO 3,004 133,000 0.06%
187 BIOGEN INC 549 133,000 0.06%
188 LKQ CORP 4,197 133,000 0.06%
189 ISHARES TR 1,141 132,000 0.06%
190 AMEREN CORP 2,443 131,000 0.06%
191 LAUDER ESTEE COS INC 1,440 131,000 0.06%
192 NXP SEMICONDUCTORS N V 1,650 129,000 0.06%
193 CHEMED CORP NEW COM 945 129,000 0.06%
194 ALLIANCE RES PARTNER L P 8,000 126,000 0.06%
195 PROSHARES TR 2,250 122,000 0.06%
196 GENERAL DYNAMICS CORP 864 120,000 0.06%
197 SYSCO CORP 2,311 118,000 0.06%
198 NORTHERN TRUST 1,769 117,000 0.06%
199 TEXTRON INC 3,200 117,000 0.06%
200 BLUELINX HLDGS INC 16,603 117,000 0.06%
Page 4 of 22

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001398344-16-015951, filed 2016.08.02).

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.