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Institutional Investment Manager
RELIANCE TRUST CO OF DELAWARE
RELIANCE TRUST CO OF DELAWARE (CIK: 0001583864) incorporated in Delaware, located at 2751 Centerville Rd, Wilmington, DE. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 640 holdings with a total value of $1,327,629,000.
#
Name
Shares
Value ($)
%
Options
Notes
601 VIACOM INC NEW 4,870 202,000 0.02%
602 MANULIFE FINL CORP 14,800 202,000 0.02%
603 ALPHAKEY CARLYLE REALTY 200,340 200,000 0.02%
604 E.ON AG ADR 19,780 199,000 0.01%
605 ALPHAKEYS KKR FUND XI 197,244 197,000 0.01%
606 JPMorgan Intermediate Tax Free Bond Fund 17,175 194,000 0.01%
607 CALPINE CORP 12,543 185,000 0.01%
608 Telenor ASA ADR OTC 10,632 175,000 0.01%
609 STRATEGIC AUTOMATED SYS INTL 172,984 173,000 0.01%
610 Mazda Motor Corp 26,160 173,000 0.01%
611 CYPRESS SEMICONDUCTOR CORP 15,287 161,000 0.01%
612 Schneider Electric SA Unspon ADR 13,423 159,000 0.01%
613 AEGON N V 38,558 155,000 0.01%
614 Societe Generale Spon ADR 24,333 152,000 0.01%
615 STAAR Surgical Co 27,000 149,000 0.01%
616 CREDIT SUISSE GROUP 13,423 144,000 0.01%
617 WILLIAM HILL PLC-UNSPN ADR 10,014 138,000 0.01%
618 TVIA INC COM 13,200 134,000 0.01%
619 FT 12,691 132,000 0.01%
620 SUMITOMO MITSUI FINL GROUP I 21,699 124,000 0.01%
621 ProSiebenSat.1 Media AG 10,412 114,000 0.01%
622 CULLEN FDS TR 11,916 113,000 0.01%
623 Compagnie Financiere Richemont SA 19,182 111,000 0.01%
624 CAMECO CORP 10,013 110,000 0.01%
625 TMI HLDGS INC COM 73,434 109,000 0.01%
626 Tesco PLC ADR 15,193 107,000 0.01%
627 ROYAL BK SCOTLAND GROUP PLC 21,778 102,000 0.01%
628 JP Morgan Tr II Core Plus Bond Fd Slct 12,224 102,000 0.01%
629 IMMUNOGEN INC 25,246 78,000 0.01%
630 MERRILL LYNCH LIFE INS CO 68,857 70,000 0.01%
631 FRONTIER COMMUNICATIONS CORP 12,159 60,000 0.00%
632 MAN WAH HOLDINGS LTD 37,600 57,000 0.00%
633 Carrefour SA 10,900 53,000 0.00%
634 Sumitomo Mitsui Trust Hldgs ADR 16,735 53,000 0.00%
635 BANCO SANTANDER SA 10,937 42,000 0.00%
636 RELIANCE FINL CORP RESIDUAL 73,434 28,000 0.00%
637 Mirvac Group 17,956 26,000 0.00%
638 NATCORE TECHNOLOGY INC 46,772 15,000 0.00%
639 MANDARIN ORIENTAL 10,000 13,000 0.00%
640 REXAHN PHARMACEUTICALS INC 50,000 13,000 0.00%
Page 13 of 13

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001583864-16-000086, filed 2016.08.10).

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.