Dark
Light
System
Institutional Investment Manager
FORESTERS ASSET MANAGEMENT INC.
FORESTERS ASSET MANAGEMENT INC. (CIK: 0001682146). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 79 holdings with a total value of $194,463,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 POWERSHARES QQQ TRUST 450,243 53,435,000 27.48%
2 SPDR S&P 500 ETF TR 127,728 27,713,000 14.25%
3 JPMORGAN CHASE & CO 94,217 6,334,000 3.26%
4 LILLY ELI & CO 73,450 5,895,000 3.03%
5 VISA INC 65,606 5,377,000 2.77%
6 MICROSOFT CORP 91,500 5,270,000 2.71%
7 PFIZER INC 138,500 4,690,000 2.41%
8 LOCKHEED MARTIN CORP 18,430 4,419,000 2.27%
9 ISHARES TR 114,000 4,277,000 2.20%
10 COSTCO WHSL CORP NEW 28,700 4,179,000 2.15%
11 APPLE INC 32,100 3,628,000 1.87%
12 JOHNSON & JOHNSON 29,100 3,497,000 1.80%
13 iShares MSCI Japan ETF 247,555 3,104,000 1.60%
14 ALPHABET INC 3,593 2,889,000 1.49%
15 AMAZON COM INC 3,331 2,790,000 1.43%
16 INTEL CORP 69,400 2,620,000 1.35%
17 MAINSTREET HEALTH INVESTMENTS INC 253,100 2,556,000 1.31%
18 ISHARES TR 42,848 2,533,000 1.30%
19 ISHARES TR 14,064 2,452,000 1.26%
20 FACEBOOK INC 19,155 2,405,000 1.24%
21 CISCO SYS INC 61,400 1,948,000 1.00%
22 VANGUARD INDEX FDS 15,083 1,843,000 0.95%
23 GENERAL ELECTRIC CO 54,115 1,604,000 0.82%
24 ISHARES INC MSCI EURZONE ETF 45,600 1,573,000 0.81%
25 CELGENE CORP 11,600 1,504,000 0.77%
26 NEXTERA ENERGY INC 11,493 1,406,000 0.72%
27 ALLERGAN PLC 7,295 1,334,000 0.69%
28 BROADCOM LTD 7,700 1,328,000 0.68%
29 AETNA INC NEW 11,100 1,282,000 0.66%
30 VULCAN MATLS CO 11,100 1,262,000 0.65%
31 EOG RES INC 12,600 1,218,000 0.63%
32 SIMON PROPERTY GROUP 5,600 1,201,000 0.62%
33 BLACKROCK INC 3,209 1,163,000 0.60%
34 HONEYWELL INTL INC 9,600 1,119,000 0.58%
35 TJX COS INC NEW 14,500 1,085,000 0.56%
36 CONSTELLATION BRANDS INC 6,150 1,024,000 0.53%
37 NEWELL BRANDS 19,100 1,006,000 0.52%
38 INTERCONTINENTAL EXCHANGE IN 3,700 996,000 0.51%
39 Ishares Tr Msci United Kingdom Etf 61,500 974,000 0.50%
40 WELLS FARGO & CO NEW 21,895 969,000 0.50%
41 EXXON MOBIL CORP 10,800 943,000 0.48%
42 ADOBE INC 8,300 901,000 0.46%
43 COMCAST CORP NEW 13,500 896,000 0.46%
44 CHUBB LIMITED 7,100 892,000 0.46%
45 ACTIVISION BLIZZARD INC 22,100 869,000 0.45%
46 MEDTRONIC PLC 10,000 864,000 0.44%
47 MASCO CORP 25,000 858,000 0.44%
48 PIONEER NAT RES CO 4,600 854,000 0.44%
49 PEPSICO INC 7,500 815,000 0.42%
50 LAUDER ESTEE COS INC 8,700 770,000 0.40%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001104659-16-156872, filed 2016.11.14).

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.