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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 (2016Q3)
Portfolio Summary: 4,786 holdings with a total value of $15,704,875,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 XCEL ENERGY INC 86,097 3,542,000 0.02%
252 BB&T CORP 93,895 3,542,000 0.02%
253 UNITED BANKSHARES INC WEST VA COM 93,446 3,520,000 0.02%
254 ONEOK INC NEW 68,471 3,519,000 0.02%
255 VANGUARD INDEX FDS 38,456 3,510,000 0.02%
256 CHURCH & DWIGHT 73,020 3,499,000 0.02%
257 INVESTORS BANCORP INC NEW 288,460 3,464,000 0.02%
258 FIREEYE INC 232,979 3,432,000 0.02%
259 ISHARES TRUST S&P 100 ETF 35,664 3,421,000 0.02%
260 NORFOLK SOUTHERN CORP 35,240 3,420,000 0.02%
261 CARDINAL HEALTH INC 43,962 3,416,000 0.02%
262 AMERICAN INTL GROUP INC 57,493 3,412,000 0.02%
263 CUMMINS INC 26,621 3,411,000 0.02%
264 RYDEX ETF TRUST 40,755 3,407,000 0.02%
265 NUVEEN AMT FREE MUN CR INC F 211,679 3,402,000 0.02%
266 STANLEY BLACK &DECKER INC 27,485 3,380,000 0.02%
267 MCKESSON CORP 20,187 3,366,000 0.02%
268 CHIPOTLE MEXICAN GRILL INC 7,931 3,359,000 0.02%
269 FISERV INC 33,713 3,353,000 0.02%
270 AUTOMATIC DATA PROCESSING IN 37,918 3,344,000 0.02%
271 WASTE MGMT INC DEL 52,183 3,327,000 0.02%
272 LEVEL 3 COMM 71,431 3,313,000 0.02%
273 EVERSOURCE ENERGY 60,715 3,290,000 0.02%
274 POWERSHARES ETF TRUST 286,494 3,288,000 0.02%
275 SPDR SERIES TRUST 89,415 3,283,000 0.02%
276 SELECT SECTOR SPDR TR 45,518 3,282,000 0.02%
277 RAYTHEON CO 24,067 3,276,000 0.02%
278 LINCOLN NATL CORP IND 69,328 3,257,000 0.02%
279 TIME WARNER INC 40,734 3,243,000 0.02%
280 DEERE & CO 37,459 3,197,000 0.02%
281 MARATHON OIL CORP 200,487 3,170,000 0.02%
282 JOHNSON CTLS INTL PLC 67,771 3,153,000 0.02%
283 EOG RES INC 32,485 3,142,000 0.02%
284 LTC PPTYS INC COM 60,389 3,140,000 0.02%
285 SALESFORCE COM INC 43,764 3,122,000 0.02%
286 WEATHERFORD INTL PLC 548,734 3,084,000 0.02%
287 SOUTHWEST AIRLS CO 79,042 3,074,000 0.02%
288 ISHARES TR 32,314 3,069,000 0.02%
289 DONALDSON INC 81,762 3,052,000 0.02%
290 TEVA PHARMACEUTICAL INDS LTD 65,703 3,023,000 0.02%
291 UBS AG LONDON BRH ETRACS MTH2XRE 190,800 3,015,000 0.02%
292 CME GROUP INC 28,711 3,001,000 0.02%
293 NATIONAL RETAIL PPTYS INC 58,405 2,970,000 0.02%
294 VANGUARD SCOTTSDALE FDS 29,662 2,955,000 0.02%
295 BROADCOM LTD 17,031 2,938,000 0.02%
296 BCB BANCORP INC 256,324 2,884,000 0.02%
297 DIREXION SHS ETF TR- 86,120 2,869,000 0.02%
298 VENTAS INC 40,617 2,869,000 0.02%
299 TARGET CORP 41,568 2,855,000 0.02%
300 ISHARES TR 23,458 2,854,000 0.02%
Page 6 of 96

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001580642-16-011512, filed 2016.10.12).

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.