Dark
Light
System
Institutional Investment Manager
Daniel Devine & Co
Daniel Devine & Co (CIK: 0001613634) incorporated in Florida, located at 7220 W. Cypresshead Drive, Parkland, FL. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 58 holdings with a total value of $153,434,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 Bombardier Inc 15,000 15,000 0.01%
2 ADVANCED MICRO DEVICES INC 31,000 88,000 0.06%
3 BUCKEYE PARTNERS L P 3,200 217,000 0.14%
4 ISHARES TR 2,400 270,000 0.18%
5 ISHARES TR 4,725 340,000 0.22%
6 Spectra Energy Corp Com 11,150 341,000 0.22%
7 VANGUARD WHITEHALL FDS 7,550 521,000 0.34%
8 Tortoise MLP Fund 31,972 522,000 0.34%
9 ALTRIA GROUP INC 8,600 539,000 0.35%
10 SELECT SECTOR SPDR TR 8,915 552,000 0.36%
11 Century Bancorp Inc Mass 15,323 596,000 0.39%
12 ABBOTT LABS 14,485 606,000 0.39%
13 VANGUARD INTL EQUITY INDEX F 22,275 770,000 0.50%
14 PROCTER AND GAMBLE CO 9,668 796,000 0.52%
15 NESTLE SA SPONSORED ADR REPSTG 10,900 813,000 0.53%
16 Vodafone Airtouch ADR 36,300 1,163,000 0.76%
17 Duke Energy Corp 14,500 1,170,000 0.76%
18 ASTRAZENECA PLC 42,700 1,202,000 0.78%
19 ROYAL DUTCH SHELL PLC 24,500 1,205,000 0.79%
20 TUPPERWARE BRANDS CORP 21,321 1,236,000 0.81%
21 BLACKSTONE GROUP L P 46,350 1,300,000 0.85%
22 BANK AMER CORP 104,000 1,406,000 0.92%
23 EMERSON ELEC CO 25,989 1,413,000 0.92%
24 TRINITY INDS INC 78,655 1,440,000 0.94%
25 TARGET CORP 17,700 1,456,000 0.95%
26 ISHARES NASDAQ BIOTECHNOLOGY ETF 1,968 1,501,000 0.98%
27 AT&T Inc New 39,200 1,535,000 1.00%
28 GENERAL MTRS CO 49,200 1,546,000 1.01%
29 Alphabet (Google) Inc CL C 2,091 1,558,000 1.02%
30 E M C CORP MASS COM 58,823 1,568,000 1.02%
31 AIR PRODS & CHEMS INC 11,763 1,694,000 1.10%
32 SAP SE 21,500 1,729,000 1.13%
33 EXPEDITORS INTL WASH INC 36,675 1,790,000 1.17%
34 ROBERT HALF INTL INC 40,400 1,882,000 1.23%
35 BlackRock Inc 5,660 1,928,000 1.26%
36 UNITEDHEALTH GROUP INC 15,105 1,947,000 1.27%
37 BOEING CO 15,375 1,952,000 1.27%
38 Zoetis Inc. CL A 45,144 2,001,000 1.30%
39 AMERICAN INTL GROUP INC 40,000 2,162,000 1.41%
40 ECOLAB INC 19,395 2,163,000 1.41%
41 FedEx Corp 13,660 2,223,000 1.45%
42 PFIZER INC 76,755 2,275,000 1.48%
43 NOVARTIS A G 32,550 2,358,000 1.54%
44 Ashland Inc New 22,655 2,491,000 1.62%
45 VISA INC 34,480 2,637,000 1.72%
46 AbbVie Inc 46,180 2,638,000 1.72%
47 ISHARES TR 81,000 2,774,000 1.81%
48 BERKSHIRE HATHAWAY B 20,500 2,909,000 1.90%
49 CHEVRON CORP NEW 30,657 2,925,000 1.91%
50 ISHARES TR 11,855 3,092,000 2.02%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001613634-16-000007, filed 2016.04.13).

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.