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Institutional Investment Manager
Creative Planning
Creative Planning (CIK: 0001540235), located at 5454 W.110th Street, Overland Park, KS. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 4,491 holdings with a total value of $11,324,244,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 HCI GROUP INC 67,509 2,617,000 0.02%
252 SELECT SECTOR SPDR TR 39,081 2,588,000 0.02%
253 BCB BANCORP INC 256,324 2,563,000 0.02%
254 NUVEEN MUN OPPTY FD INC 180,327 2,541,000 0.02%
255 NORFOLK SOUTHERN CORP 32,944 2,517,000 0.02%
256 RAIT FINANCIAL TRUST 506,966 2,515,000 0.02%
257 TESORO CORP 25,401 2,470,000 0.02%
258 AUTOMATIC DATA PROCESSING IN 30,704 2,467,000 0.02%
259 GOLDMAN SACHS GROUP INC 13,983 2,430,000 0.02%
260 Market Vectors Biotech 20,888 2,388,000 0.02%
261 BECTON DICKINSON & CO 17,951 2,381,000 0.02%
262 WASTE MGMT INC DEL 47,705 2,376,000 0.02%
263 VENTAS INC 42,348 2,374,000 0.02%
264 OCCIDENTAL PETE CORP DEL 35,852 2,372,000 0.02%
265 DONALDSON INC 83,742 2,351,000 0.02%
266 CORNING INC 137,268 2,350,000 0.02%
267 VANGUARD INTL EQUITY INDEX F 47,627 2,342,000 0.02%
268 ACCENTURE PLC IRELAND 23,749 2,334,000 0.02%
269 ISHARES U.S. OIL & GAS EXPLORATION & PRODUCTION ETF 41,800 2,318,000 0.02%
270 FIDELITY NATL INFORMATION SV 34,489 2,314,000 0.02%
271 ISHARES TR 21,461 2,314,000 0.02%
272 ONEOK INC NEW 71,845 2,313,000 0.02%
273 PROSHARES TR 35,442 2,305,000 0.02%
274 TELEDYNE TECHNOLOGIES INC 25,376 2,291,000 0.02%
275 VANGUARD SCOTTSDALE FDS 28,625 2,282,000 0.02%
276 PROSHARES TR 38,850 2,258,000 0.02%
277 NABORS INDUSTRIES LTD 237,890 2,248,000 0.02%
278 PROSHARES TR 75,000 2,241,000 0.02%
279 ALASKA AIR GROUP INC 28,177 2,239,000 0.02%
280 POWERSHARES ETF TRUST 182,594 2,235,000 0.02%
281 SEAGATE TECHNOLOGY PLC 49,291 2,208,000 0.02%
282 ISHARES TR 22,711 2,191,000 0.02%
283 FISERV INC 25,127 2,176,000 0.02%
284 LEGGETT &PLATT INC 52,693 2,174,000 0.02%
285 FIRST TRUST EXCH TRADED FUND 2 ENERGY ALPHADX ETF 150,531 2,168,000 0.02%
286 SEMPRA ENERGY 22,257 2,152,000 0.02%
287 ILLUMINA INC 12,186 2,143,000 0.02%
288 MARRIOTT INTL INC NEW 31,145 2,124,000 0.02%
289 OGE ENERGY CORP 76,033 2,080,000 0.02%
290 AVAGO TECHNOLOGIES LTD SHS 16,623 2,078,000 0.02%
291 ISHARES TR 30,930 2,075,000 0.02%
292 RYDEX ETF TRUST 28,148 2,071,000 0.02%
293 FLOTEK INDS INC DEL COM NEW 123,778 2,067,000 0.02%
294 PNC FINL SVCS GROUP INC 23,087 2,059,000 0.02%
295 Patterson UTI Energy Inc Com 154,769 2,034,000 0.02%
296 REALTY INCOME CORP 42,877 2,032,000 0.02%
297 DEVON ENERGY CORP NEW 54,518 2,022,000 0.02%
298 VECTOR GROUP LTD 88,672 2,005,000 0.02%
299 CIGNA CORPORATION 14,813 2,000,000 0.02%
300 Hewlett Packard Co 77,667 1,989,000 0.02%
Page 6 of 90

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001580642-15-004643, filed 2015.10.09).

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.