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Institutional Investment Manager
Baltimore-Washington Financial Advisors, Inc.
Baltimore-Washington Financial Advisors, Inc. (CIK: 0001555486) incorporated in Maryland, located at 10960 Grantchester Way, Columbia, MD. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Original 13F HR (0001606587-15-000108) filed in 2015.04.08
#
Name
Shares
Value ($)
%
Options
Notes
151 NORFOLK SOUTHERN CORP 235 24 0.01%
152 COGNIZANT TECHNOLOGY SOLUTIO 416 26 0.01%
153 EXELON CORP 803 27 0.01%
154 MCCORMICK CO INC 350 27 0.01%
155 BOSTON BEER INC 100 27 0.01%
156 ROCKWELL COLLINS INC 304 29 0.01%
157 KNOWLES CORP COM 1,500 29 0.01%
158 ISHARES TR 200 30 0.01%
159 SOUTHERN CO 700 31 0.01%
160 HONEYWELL INTL INC 300 31 0.01%
161 SOUTHWEST AIRLS CO 700 31 0.01%
162 PIONEER NAT RES CO 200 33 0.01%
163 ISHARES TR 300 33 0.01%
164 Chubb Corporation 333 34 0.01%
165 CEDAR FAIR L P 600 34 0.01%
166 NEW SR INVEST GRP INC COM 2,066 34 0.01%
167 CHEVRON CORP NEW 325 34 0.01%
168 NOVARTIS A G 350 35 0.01%
169 UDR INC 1,080 37 0.01%
170 PHILIP MORRIS INTL INC 500 38 0.01%
171 EATON VANCE MUN BD FD 2,978 38 0.01%
172 MAGELLAN MIDSTREAM PRTNRS LP 500 38 0.01%
173 STARZ SERIES A 1,100 38 0.01%
174 WYNDHAM WORLDWIDE CORP 429 39 0.01%
175 CTRIP COM INTL LTD 666 39 0.01%
176 MEDTRONIC PLC 501 39 0.01%
177 DISNEY WALT CO 368 39 0.01%
178 LIBERTY BROADBAND-C 716 41 0.01%
179 SUNOCO LOGISTICS PRTNRS L P 1,000 41 0.01%
180 Liberty Ventures 966 41 0.01%
181 WESTERN ASSET INTER MUNI FD 4,145 42 0.01%
182 Liberty Media Ser A 1,100 42 0.01%
183 COCA COLA CO 1,040 42 0.01%
184 Teekay Offshore Partners LP 2,000 42 0.01%
185 HOME DEPOT INC 406 46 0.01%
186 PIMCO MUN INCOME FD 3,058 47 0.01%
187 INTERNATIONAL BUSINESS MACHS 313 50 0.01%
188 GENERAL ELECTRIC CO 2,066 51 0.01%
189 ROSS STORES INC 500 53 0.02%
190 SPDR SERIES TRUST 1,000 53 0.02%
191 TRAVELERS COMPANIES INC 500 54 0.02%
192 VALERO ENERGY CORP NEW 866 55 0.02%
193 DISCOVER FINL SVCS 1,000 56 0.02%
194 CVS HEALTH CORP 541 56 0.02%
195 SPDR S&P 600 SMALL CAP GROWTH ETF 300 57 0.02%
196 COSTAR GROUP 294 58 0.02%
197 PNC FINL SVCS GROUP INC 650 61 0.02%
198 ORACLE CORP 1,439 62 0.02%
199 MARRIOTT INTL INC NEW 806 65 0.02%
200 PUBLIC STORAGE 328 65 0.02%
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