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Institutional Investment Manager
UNIPLAN INVESTMENT COUNSEL, INC.
UNIPLAN INVESTMENT COUNSEL, INC. (CIK: 0001520710). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 99 holdings with a total value of $2,222,522,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 POWERSHARES ETF TRUST II 562,398 13,053,000 0.59%
52 AIRCASTLE LTD 651,286 12,934,000 0.58%
53 KRATON CORP COM 337,849 11,838,000 0.53%
54 EATON CORP PLC 177,601 11,670,000 0.53%
55 TEGNA INC 532,773 11,646,000 0.52%
56 MGP INGREDIENTS INC NEW COM 279,587 11,328,000 0.51%
57 EATON VANCE TAX MANAGED GLOB 1,006,586 11,082,000 0.50%
58 MFS GOVT MKTS INCOME TR 2,012,743 10,868,000 0.49%
59 PSYCHEMEDICS CORP COM NEW 454,421 9,006,000 0.41%
60 CEVA Inc 244,635 8,579,000 0.39%
61 AIR TRANSPORT SERVICES GRP I 594,163 8,526,000 0.38%
62 PETMED EXPRESS INC 419,474 8,506,000 0.38%
63 TREX CO INC COM 139,816 8,210,000 0.37%
64 Dynamic Materials 699,063 7,452,000 0.34%
65 NEOGENOMICS INC 885,427 7,278,000 0.33%
66 DOUGLAS DYNAMICS INC 221,371 7,070,000 0.32%
67 FARMLAND PARTNERS INC 605,870 6,785,000 0.31%
68 EPLUS INC COM 69,906 6,599,000 0.30%
69 OIL-DRI CORP OF AMERICA WITH STOCK SPLIT SHARES 174,764 6,578,000 0.30%
70 BLACK BOX CORP 454,318 6,315,000 0.28%
71 VASCULAR SOLUTIONS 128,182 6,182,000 0.28%
72 Waterstone Financial 361,176 6,136,000 0.28%
73 ATRION CORP 13,982 5,964,000 0.27%
74 SAGA COMMUNICATIONS INC CL A NEW 128,153 5,810,000 0.26%
75 MISTRAS GROUP INC 244,691 5,742,000 0.26%
76 Park City Group Inc 477,685 5,636,000 0.25%
77 MONARCH CASINO & RESORT INC COM 221,355 5,571,000 0.25%
78 PLAINS ALL AMERN PIPELINE L 176,804 5,553,000 0.25%
79 UNIFI INC COM NEW 186,443 5,487,000 0.25%
80 MATERION CORP COM 174,741 5,366,000 0.24%
81 CONSOLIDATED WATER CO INC ORD 454,338 5,279,000 0.24%
82 EQT MIDSTREAM PARTNERS LP 68,778 5,240,000 0.24%
83 ENTERPRISE PRODS PARTNERS L 186,661 5,157,000 0.23%
84 ENERGY TRANSFER PRTNRS L P 137,527 5,088,000 0.23%
85 MPLX LP 147,371 4,990,000 0.22%
86 ORCHIDS PAPER PRODS CO DEL COM 174,733 4,757,000 0.21%
87 HOLLY ENERGY PARTNERS L P 137,545 4,666,000 0.21%
88 WESTERN REFNG LOGISTICS LP 196,490 4,554,000 0.20%
89 CEDAR FAIR L P 78,607 4,503,000 0.20%
90 GENESIS ENERGY LP COM UNITS NPV 117,878 4,475,000 0.20%
91 FLY LEASING LIMITED SPONSORED ADR 384,490 4,456,000 0.20%
92 SPECTRA ENERGY PARTNERS LP 98,252 4,292,000 0.19%
93 SOTHERLY HOTELS INC COM 699,054 3,691,000 0.17%
94 FREIGHTCAR AMERICA INC 209,672 3,015,000 0.14%
95 STRATTEC SEC CORP 81,583 2,879,000 0.13%
96 COMTECH TELECOMMUNICATIONS C 221,424 2,836,000 0.13%
97 MAGELLAN MIDSTREAM PRTNRS LP 33,390 2,362,000 0.11%
98 OHA INVT CORP 722,662 2,269,000 0.10%
99 MAGICJACK VOCALTEC LTD 233,075 1,419,000 0.06%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001520710-16-000010, filed 2016.11.10).

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.