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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 (2016Q2)
Original 13F HR (0001085146-16-003994) filed in 2016.07.19
#
Name
Shares
Value ($)
%
Options
Notes
251 UNION PAC CORP 88,912 7,758 0.63%
252 DU PONT E I DE NEMOURS & CO 121,347 7,863 0.64%
253 ABBVIE INC 130,571 8,084 0.66%
254 BLACKROCK INC 24,151 8,272 0.67%
255 UNITEDHEALTH GROUP INC 58,743 8,295 0.67%
256 STARBUCKS CORP 145,239 8,296 0.67%
257 INTEL CORP 263,319 8,637 0.70%
258 US BANCORP DEL 216,460 8,730 0.71%
259 GILEAD SCIENCES INC 104,761 8,739 0.71%
260 ACCENTURE PLC IRELAND 78,204 8,860 0.72%
261 ABBOTT LABS 226,719 8,912 0.72%
262 DOW CHEM CO 179,648 8,930 0.72%
263 SMUCKER J M CO 60,227 9,179 0.75%
264 ALPHABET INC 13,400 9,427 0.77%
265 INTERNATIONAL BUSINESS MACHS 66,073 10,029 0.81%
266 V F CORP 163,551 10,057 0.82%
267 FISERV INC 101,318 11,016 0.89%
268 DOMINION ENERGY INC 142,369 11,095 0.90%
269 UNITED PARCEL SERVICE INC 106,621 11,485 0.93%
270 JPMORGAN CHASE & CO 195,362 12,140 0.99%
271 FACEBOOK INC 109,373 12,499 1.01%
272 MCDONALDS CORP 108,250 13,027 1.06%
273 AUTOMATIC DATA PROCESSING IN 146,268 13,438 1.09%
274 VISA INC 182,435 13,531 1.10%
275 HONEYWELL INTL INC 120,052 13,964 1.13%
276 ISHARES TR 127,330 14,640 1.19%
277 AMGEN INC 101,908 15,505 1.26%
278 WELLS FARGO & CO NEW 337,427 15,970 1.30%
279 COMCAST CORP NEW 246,301 16,056 1.30%
280 MICROSOFT CORP 320,811 16,416 1.33%
281 PFIZER INC 478,057 16,832 1.37%
282 BRISTOL MYERS SQUIBB CO 230,052 16,920 1.37%
283 AT&T INC 406,714 17,574 1.43%
284 CHEVRON CORP NEW 170,841 17,909 1.45%
285 MERCK & CO INC 311,592 17,951 1.46%
286 CVS HEALTH CORP 193,342 18,511 1.50%
287 DISNEY WALT CO 191,608 18,743 1.52%
288 PROCTER AND GAMBLE CO 240,523 20,365 1.65%
289 3M CO 116,554 20,411 1.66%
290 APPLE INC 219,139 20,950 1.70%
291 NEXTERA ENERGY INC 162,906 21,243 1.72%
292 HOME DEPOT INC 176,223 22,502 1.83%
293 PEPSICO INC 214,221 22,695 1.84%
294 ISHARES TR 112,874 23,760 1.93%
295 VERIZON COMMUNICATIONS INC 437,982 24,457 1.99%
296 ISHARES TR 175,254 29,478 2.39%
297 GENERAL ELECTRIC CO 1,287,988 40,546 3.29%
298 JOHNSON & JOHNSON 376,563 45,677 3.71%
299 EXXON MOBIL CORP 493,692 46,279 3.76%
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