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
401 WESTERN UN CO 405,016 8,432 0.05%
402 COACH INC 229,664 8,397 0.05%
403 HORMEL FOODS CORP 221,191 8,390 0.05%
404 D R HORTON INC 277,153 8,370 0.05%
405 CARMAX INC 156,724 8,361 0.05%
406 CENTERPOINT ENERGY INC 359,157 8,343 0.05%
407 EASTMAN CHEM CO 122,432 8,286 0.05%
408 KANSAS CITY SOUTHERN 88,341 8,244 0.05%
409 C H ROBINSON WORLDWIDE INC 116,746 8,226 0.05%
410 NETAPP INC 228,248 8,176 0.04%
411 EXTRA SPACE STORAGE INC 102,906 8,172 0.04%
412 MACERICH CO 98,699 7,982 0.04%
413 CINTAS CORP 70,199 7,904 0.04%
414 ALBEMARLE CORP 92,011 7,866 0.04%
415 HANESBRANDS INC 311,406 7,863 0.04%
416 UDR INC 218,476 7,863 0.04%
417 TESORO CORP 97,874 7,787 0.04%
418 HARLEY DAVIDSON INC 146,351 7,697 0.04%
419 XYLEM INC 146,709 7,695 0.04%
420 XL GROUP LTD 228,061 7,670 0.04%
421 APPLIED MATLS INC 254,309 7,667 0.04%
422 VARIAN MED SYS INC 76,782 7,642 0.04%
423 EXPEDITORS INTL WASH INC 148,116 7,631 0.04%
424 AKAMAI TECHNOLOGIES INC 143,440 7,601 0.04%
425 JUNIPER NETWORKS INC 313,947 7,554 0.04%
426 FOOT LOCKER INC 111,014 7,518 0.04%
427 IRON MTN INC NEW 200,285 7,517 0.04%
428 WHOLE FOODS MKT INC 261,908 7,425 0.04%
429 SEALED AIR CORP NEW 162,026 7,424 0.04%
430 GALLAGHER ARTHUR J & CO 145,419 7,397 0.04%
431 TRACTOR SUPPLY CO 109,509 7,375 0.04%
432 HASBRO INC 92,895 7,369 0.04%
433 INTERPUBLIC GROUP COS INC 329,344 7,361 0.04%
434 FORTUNE BRANDS HOME & SEC IN 126,093 7,326 0.04%
435 PVH CORPORATION 65,633 7,252 0.04%
436 SNAP ON INC 47,520 7,221 0.04%
437 COOPER COS INC 40,018 7,174 0.04%
438 ALLIANT ENERGY CORP 186,676 7,152 0.04%
439 Xerox Corp 699,872 7,090 0.04%
440 BROWN FORMAN CORP 149,213 7,079 0.04%
441 NEWFIELD EXPL CO 162,474 7,061 0.04%
442 MOSAIC CO NEW 286,490 7,008 0.04%
443 AES CORP 541,489 6,958 0.04%
444 GOODYEAR TIRE & RUBR CO 215,027 6,945 0.04%
445 PINNACLE WEST 91,151 6,927 0.04%
446 CBRE GROUP INC 245,863 6,879 0.04%
447 UNUM GROUP 192,618 6,801 0.04%
448 COMERICA INC 143,426 6,787 0.04%
449 CITIGROUP INC 143,251 6,766 0.04%
450 F5 NETWORKS INC 54,162 6,751 0.04%
Page 9 of 29