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Institutional Investment Manager
Vident Investment Advisory, LLC
Vident Investment Advisory, LLC (CIK: 0001634047) incorporated in Delaware, located at 1125 Sanctuary Parkway, Alpharetta, GA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 1,038 holdings with a total value of $720,135,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 97,029 10,702,000 1.49%
2 VALEANT PHARMACEUTICALS INTL 50,657 9,036,000 1.25%
3 IPATH MSCI INDIA INDEX ETN 109,484 7,246,000 1.01%
4 ALLERGAN PLC 25,432 6,913,000 0.96%
5 SIMON PROPERTY GROUP 32,581 5,986,000 0.83%
6 HORIZON PHARMA PLC 259,125 5,136,000 0.71%
7 AVAGO TECHNOLOGIES LTD SHS 34,637 4,330,000 0.60%
8 WAL-MART STORES INC 62,229 4,035,000 0.56%
9 FIRST TR INTER DURATN PFD & IN COM 185,464 3,976,000 0.55%
10 BIOGEN INC 13,159 3,840,000 0.53%
11 TIME WARNER INC NEW 21,148 3,793,000 0.53%
12 WALGREENS BOOTS ALLIANCE INC 45,207 3,757,000 0.52%
13 EATON VANCE LTD COM 290,620 3,685,000 0.51%
14 MFS CHARTER INCOME TR 469,228 3,637,000 0.51%
15 DOUBLELINE INCOME SOLUTIONS 208,938 3,613,000 0.50%
16 BLACKROCK CORPOR HI YLD FD I 363,088 3,584,000 0.50%
17 CLOUGH GLOBAL OPPORTUNITIES 332,019 3,553,000 0.49%
18 PIMCO DYNAMIC CR INCOME FD 192,850 3,523,000 0.49%
19 PRUDENTIAL GLB SHT DUR HG YL 254,266 3,506,000 0.49%
20 TRANSDIGM GROUP INC COM 16,500 3,505,000 0.49%
21 ALPINE TOTAL DYNAMIC DIVID F 462,512 3,469,000 0.48%
22 EATON VANCE TAX-MANAGED GLOBAL COM 412,252 3,422,000 0.48%
23 WESTERN ASSET EMERGING MKTS 250,879 3,342,000 0.46%
24 EATON VANCE TAX MANAGED DIVE 322,862 3,319,000 0.46%
25 BAIDU INC 24,156 3,319,000 0.46%
26 VOYA GLBL EQTY DIV PREM OP 471,196 3,275,000 0.45%
27 ALPINE GLOBAL PREMIER PPTYS FD COM SBI 586,444 3,272,000 0.45%
28 WESTERN UN CO 173,599 3,187,000 0.44%
29 BLACKROCK INTL GRWTH & INC T 514,214 3,121,000 0.43%
30 GAMCO GLOBAL GOLD NAT RES 606,433 3,026,000 0.42%
31 GENERAL MTRS CO 95,458 2,866,000 0.40%
32 PRUDENTIAL SHT DURATION HG YLD 193,171 2,832,000 0.39%
33 INFOSYS LTD-SP ADR 147,795 2,821,000 0.39%
34 QUALCOMM INC 51,415 2,763,000 0.38%
35 OCEANEERING INTL INC 70,065 2,752,000 0.38%
36 ABERDEEN ASIA PACIFIC INCOME 610,272 2,746,000 0.38%
37 MORGAN STANLEY EM MKTS DM DE 397,180 2,733,000 0.38%
38 GILEAD SCIENCES INC 26,928 2,644,000 0.37%
39 CLOVIS ONCOLOGY INC 27,285 2,509,000 0.35%
40 Ryanair Hldgs Plc Adr 31,449 2,462,000 0.34%
41 MICRON TECHNOLOGY INC 164,364 2,462,000 0.34%
42 SPIRIT AEROSYSTEMS HLDGS INC COM CL A 50,767 2,454,000 0.34%
43 MFS MULTIMARKET INCOME TR 433,808 2,425,000 0.34%
44 LINCOLN ELEC HLDGS INC 45,678 2,395,000 0.33%
45 TYSON FOODS INC 55,355 2,386,000 0.33%
46 CALAMOS GBL DYN INCOME FUND COM 336,037 2,339,000 0.32%
47 GTT COMMUNICATIONS INC COM 98,330 2,287,000 0.32%
48 BLACKSTONE GSO STRATEGIC CR FD COM SHS BEN IN 159,784 2,271,000 0.32%
49 L BRANDS INC 25,105 2,263,000 0.31%
50 DELTA AIRLINES INC DEL 49,953 2,241,000 0.31%
Page 1 of 21

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001634047-15-000007, filed 2015.10.26).

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.