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Institutional Investment Manager
Chevy Chase Trust Holdings, LLC
Chevy Chase Trust Holdings, LLC (CIK: 0001462020) incorporated in Maryland, located at 7501 Wisconsin Avenue, Bethesda, MD. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001462020-16-000015) filed in 2016.04.07
#
Name
Shares
Value ($)
%
Options
Notes
401 BROWN FORMAN CORP 83,132 8,186 0.05%
402 TEXTRON INC 224,307 8,178 0.05%
403 MICROCHIP TECHNOLOGY 169,331 8,162 0.05%
404 AKAMAI TECHNOLOGIES INC 146,701 8,152 0.05%
405 WESTERN UN CO 420,619 8,114 0.05%
406 HARRIS CORP 103,323 8,045 0.05%
407 CINCINNATI FINL CORP 122,899 8,033 0.05%
408 SL GREEN RLTY CORP 82,763 8,018 0.05%
409 INTEL CORP 243,848 7,888 0.05%
410 MOSAIC CO NEW 291,825 7,879 0.05%
411 SEALED AIR CORP NEW 163,760 7,862 0.04%
412 LINCOLN NATL CORP IND 199,961 7,838 0.04%
413 HARLEY DAVIDSON INC 152,222 7,814 0.04%
414 MARATHON OIL CORP 700,675 7,806 0.04%
415 L-3 Communications Hldgs 64,775 7,676 0.04%
416 INTERPUBLIC GROUP COS INC 334,222 7,670 0.04%
417 KANSAS CITY SOUTHERN 89,747 7,669 0.04%
418 CIMAREX ENERGY 78,538 7,639 0.04%
419 AIRGAS INC 53,920 7,637 0.04%
420 KEYCORP 691,192 7,631 0.04%
421 CENTERPOINT ENERGY INC 363,110 7,596 0.04%
422 CA INC 246,634 7,594 0.04%
423 BEST BUY INC 233,040 7,560 0.04%
424 SNAP ON INC 48,052 7,544 0.04%
425 INTERNATIONAL FLAVORS&FRAGRA 66,064 7,516 0.04%
426 HASBRO INC 93,613 7,498 0.04%
427 JUNIPER NETWORKS 291,915 7,447 0.04%
428 RANGE RES CORP 228,724 7,406 0.04%
429 EXPEDITORS INTL WASH INC 150,630 7,352 0.04%
430 KOHLS 157,545 7,343 0.04%
431 GOODYEAR TIRE & RUBR CO 221,838 7,316 0.04%
432 AFFILIATED MANAGERS GROUP 44,661 7,253 0.04%
433 LENNAR 149,414 7,226 0.04%
434 WYNDHAM WORLDWIDE CORP 93,343 7,134 0.04%
435 GENERAL ELECTRIC CO 224,394 7,133 0.04%
436 HOLOGIC INC 204,879 7,068 0.04%
437 TYSON FOODS INC 105,859 7,057 0.04%
438 VERISIGN INC 79,684 7,055 0.04%
439 BORGWARNER INC 181,852 6,983 0.04%
440 CBRE GROUP INC 240,534 6,932 0.04%
441 PINNACLE WEST 92,021 6,908 0.04%
442 GENERAL ELECTRIC CO 213,588 6,790 0.04%
443 BED BATH & BEYOND INC 136,553 6,778 0.04%
444 TIFFANY & CO NEW 92,305 6,773 0.04%
445 PVH CORPORATION 67,783 6,715 0.04%
446 TOTAL SYS SVCS INC 139,910 6,657 0.04%
447 DARDEN RESTAURANTS INC 99,697 6,610 0.04%
448 NETAPP INC 239,395 6,533 0.04%
449 CINTAS CORP 72,504 6,512 0.04%
450 AGL Resources Inc 99,767 6,499 0.04%
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