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Institutional Investment Manager
Yellowstone Partners, LLC
Yellowstone Partners, LLC (CIK: 0001682196) incorporated in Idaho, located at 3340 Merlin Drive, Idaho Falls, ID. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 216 holdings with a total value of $211,360,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 VALEANT PHARMACEUTICALS INTL 75,223 13,418,000 6.35%
2 JPMORGAN CHASE & CO 187,153 11,411,000 5.40%
3 MICROSOFT CORP 237,227 10,500,000 4.97%
4 BROOKFIELD ASSET MGMT INC 278,216 8,747,000 4.14%
5 HALLIBURTON 229,126 8,100,000 3.83%
6 EQUINIX 27,908 7,630,000 3.61%
7 ALPHABET INC 11,541 7,368,000 3.49%
8 PRIMERICA INC 153,832 6,933,000 3.28%
9 SCHWAB CHARLES CORP 203,339 5,807,000 2.75%
10 APPLE INC 48,177 5,314,000 2.51%
11 KINDER MORGAN INC DEL 157,848 4,369,000 2.07%
12 Twenty-First Century Fox Inc 160,018 4,317,000 2.04%
13 KEURIG GREEN MTN INC 77,428 4,037,000 1.91%
14 ANTERO RESOURCE CORP 177,154 3,749,000 1.77%
15 MARATHON PETE CORP 80,498 3,729,000 1.76%
16 EDGEWELL PERS CARE 44,503 3,631,000 1.72%
17 CHICAGO BRIDGE & IRON CO N V 83,276 3,303,000 1.56%
18 SHERWIN WILLIAMS CO 11,961 2,665,000 1.26%
19 ISHARES TR 21,470 2,353,000 1.11%
20 COSTCO WHSL CORP NEW 13,435 1,942,000 0.92%
21 GENERAL ELECTRIC CO 76,986 1,942,000 0.92%
22 MASTERCARD INCORPORATED 20,473 1,845,000 0.87%
23 JOHNSON & JOHNSON 19,338 1,805,000 0.85%
24 CELGENE CORP 16,111 1,743,000 0.82%
25 TJX COS INC NEW 22,843 1,631,000 0.77%
26 CHEVRON CORP NEW 20,539 1,620,000 0.77%
27 AMERICAN INTL GROUP INC 28,454 1,617,000 0.77%
28 CARDINAL HEALTH INC 20,192 1,551,000 0.73%
29 ISHARES TR 12,598 1,462,000 0.69%
30 PROCTER AND GAMBLE CO 19,915 1,433,000 0.68%
31 POWERSHARES BUILD AMERICA BOND PORTFOLIO ETF 48,783 1,428,000 0.68%
32 ABBOTT LABS 33,933 1,365,000 0.65%
33 ACCENTURE PLC IRELAND 13,858 1,362,000 0.64%
34 MARATHON OIL CORP 88,092 1,357,000 0.64%
35 PACCAR INC 25,993 1,356,000 0.64%
36 SCHLUMBERGER LTD 17,972 1,240,000 0.59%
37 VANGUARD SPECIALIZED FUNDS 16,555 1,221,000 0.58%
38 US BANCORP DEL 29,539 1,211,000 0.57%
39 GLACIER BANCORP INC NEW COM 43,956 1,160,000 0.55%
40 VANGUARD BD INDEX FDS 14,132 1,136,000 0.54%
41 VANGUARD BD INDEX FDS 13,478 1,104,000 0.52%
42 EXXON MOBIL CORP 14,274 1,061,000 0.50%
43 FIRST TR EXCHANGE TRADED FD 27,702 993,000 0.47%
44 ISHARES TR 8,563 988,000 0.47%
45 TARGET CORP 11,740 923,000 0.44%
46 COCA COLA CO 21,959 881,000 0.42%
47 CAPITAL ONE FINL CORP 11,927 865,000 0.41%
48 BOEING CO 6,542 857,000 0.41%
49 STARBUCKS CORP 14,839 843,000 0.40%
50 PFIZER INC 25,949 815,000 0.39%
Page 1 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001682196-16-000010, filed 2016.08.17).

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.