Dark
Light
System
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 (2016Q3)
Original 13F HR (0001462020-16-000017) filed in 2016.10.05
#
Name
Shares
Value ($)
%
Options
Notes
601 US BANCORP DEL 62,468 2,679 0.01%
602 AUTONATION INC 54,286 2,644 0.01%
603 MORGAN STANLEY 82,406 2,642 0.01%
604 CISCO SYS INC 82,388 2,613 0.01%
605 HOME DEPOT INC 20,239 2,604 0.01%
606 CORNING INC 109,793 2,597 0.01%
607 PEPSICO INC 23,574 2,564 0.01%
608 CVS HEALTH CORP 28,762 2,560 0.01%
609 MOSAIC CO NEW 104,501 2,556 0.01%
610 VISA INC 30,901 2,556 0.01%
611 QUINTILES IMS HOLDINGS INC 31,472 2,551 0.01%
612 LEGG MASON INC 76,151 2,550 0.01%
613 SPDR S&P 500 ETF TR 11,745 2,540 0.01%
614 URBAN OUTFITTERS INC COM 72,830 2,514 0.01%
615 WESTERN DIGITAL CORP 42,925 2,510 0.01%
616 FIRST SOLAR INC 62,805 2,480 0.01%
617 PHILIP MORRIS INTL INC 25,411 2,470 0.01%
618 BIOGEN INC 7,824 2,449 0.01%
619 OWENS ILL INC 132,596 2,438 0.01%
620 CORNING INC 101,876 2,409 0.01%
621 BIOGEN INC 7,669 2,400 0.01%
622 NORTHERN TRUST 35,301 2,400 0.01%
623 LKQ CORP 67,411 2,390 0.01%
624 ABBOTT LABS 55,483 2,346 0.01%
625 TYSON FOODS INC 30,911 2,308 0.01%
626 ARCHER DANIELS MIDLAND CO 54,540 2,300 0.01%
627 RYDEX ETF TRUST 42,855 2,266 0.01%
628 INTERNATIONAL BUSINESS MACHS 14,247 2,263 0.01%
629 KOHLS CORP 51,640 2,259 0.01%
630 DISNEY WALT CO 24,219 2,249 0.01%
631 UNITEDHEALTH GROUP INC 15,600 2,184 0.01%
632 QUANTA SVCS INC 77,645 2,173 0.01%
633 TIME WARNER INC 27,254 2,170 0.01%
634 CONSOL ENERGY INC 112,847 2,167 0.01%
635 INTERCONTINENTAL EXCHANGE IN 8,041 2,166 0.01%
636 EXXON MOBIL CORP 24,360 2,127 0.01%
637 NEWMONT CORP 53,989 2,121 0.01%
638 BLACKROCK INC 5,799 2,101 0.01%
639 TIME WARNER INC 26,272 2,091 0.01%
640 ARAMARK 54,862 2,086 0.01%
641 SYNCHRONY FINL 74,056 2,074 0.01%
642 ALTRIA GROUP INC 32,004 2,024 0.01%
643 FREEPORT-MCMORAN INC 182,146 1,978 0.01%
644 VANGUARD INDEX FDS 17,750 1,976 0.01%
645 ORACLE CORP 49,334 1,938 0.01%
646 ISHARES TR 32,761 1,937 0.01%
647 AMERISOURCEBERGEN CORP 23,421 1,892 0.01%
648 HUBBELL INC 17,417 1,877 0.01%
649 ISHARES TR 14,830 1,841 0.01%
650 ALEXION PHARMACEUTICALS INC 14,971 1,834 0.01%
Page 13 of 29