Dark
Light
System
Institutional Investment Manager
Fiduciary Trust Co International of Pennsylvania
Fiduciary Trust Co International of Pennsylvania (CIK: 0001560808) incorporated in Pennsylvania, located at 100 Matsonford Road, Radnor, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0001085146-14-000799) filed in 2014.04.04
#
Name
Shares
Value ($)
%
Options
Notes
301 INTEL CORP 392,811 10,140 0.74%
302 DIAGEO P L C 82,216 10,243 0.75%
303 WISDOMTREE TR 217,001 10,273 0.75%
304 MCDONALDS CORP 110,327 10,815 0.79%
305 DOW CHEM CO 224,038 10,886 0.80%
306 AT&T INC 310,490 10,889 0.80%
307 VALEANT PHARMACEUTICALS INTL 84,011 11,075 0.81%
308 CHESAPEAKE ENERGY CORP 458,881 11,757 0.86%
309 VISA INC 54,789 11,827 0.86%
310 NOVARTIS A G 142,176 12,088 0.88%
311 AMGEN INC 98,564 12,157 0.89%
312 DOMINION ENERGY INC 179,769 12,762 0.93%
313 VERIZON COMMUNICATIONS INC 272,956 12,985 0.95%
314 NEXTERA ENERGY INC 136,417 13,044 0.95%
315 V F CORP 220,997 13,675 1.00%
316 BANK AMER CORP 864,866 14,876 1.09%
317 QUALCOMM INC 190,128 14,993 1.10%
318 JPMORGAN CHASE & CO 249,988 15,177 1.11%
319 HOME DEPOT INC 195,894 15,501 1.13%
320 ISHARES NASDAQ BIOTECHNOLOGY ETF 14,017 15,622 1.14%
321 UNION PAC CORP 85,219 15,992 1.17%
322 WELLS FARGO & CO NEW 325,670 16,199 1.18%
323 3M CO 122,374 16,601 1.21%
324 COMCAST CORP NEW 332,444 16,635 1.22%
325 PEPSICO INC 222,050 18,541 1.35%
326 MERCK & CO INC 335,748 19,060 1.39%
327 UNITED TECHNOLOGIES CORP 166,464 19,450 1.42%
328 CHEVRON CORP NEW 166,139 19,756 1.44%
329 PFIZER INC 620,932 19,944 1.46%
330 CVS HEALTH CORP 272,132 20,372 1.49%
331 PROCTER AND GAMBLE CO 255,828 20,620 1.51%
332 ISHARES TR 183,140 21,307 1.56%
333 INTERNATIONAL BUSINESS MACHS 110,887 21,345 1.56%
334 AMERICAN INTL GROUP INC 455,686 22,789 1.66%
335 DISNEY WALT CO 286,542 22,943 1.68%
336 EXPRESS SCRIPTS HLDG CO 309,873 23,268 1.70%
337 APPLE INC 47,838 25,677 1.88%
338 ISHARES TR 144,870 27,256 1.99%
339 ISHARES TR 213,839 33,094 2.42%
340 JOHNSON & JOHNSON 370,940 36,437 2.66%
341 GENERAL ELECTRIC CO 1,463,299 37,885 2.77%
342 EXXON MOBIL CORP 535,335 52,291 3.82%
Page 7 of 7