ALPS ADVISORS INC Q2 2016 Filing

Filed July 27, 2016

Portfolio Value

$11.3B

Holdings

608

Report Date

Q2 2016

Filing Type

13F-HR

All Holdings (608 positions)

#StockSharesValue% PortfolioType
1
WEPMagellan Midstream MLP
11,805,830$897.2B7950.23%
2
EPDEnterprise Prods. LP MLP
29,783,755$871.5B7721.88%
3
ETEnergy Transfer MLP
22,684,566$863.6B7652.13%
4
PAAPlains All American MLP
23,567,126$647.9B5740.51%
5
Buckeye Partners, LP MLP
8,097,702$569.5B5046.28%
6
Williams Partners LP MLP
15,432,728$534.6B4736.86%
7
MPLXMPLX LP
15,584,798$524.1B4644.06%
8
Oneok Partners LP MLP
9,808,447$392.9B3481.61%
9
SUNSunoco Logistics LP MLP
13,551,570$389.6B3452.21%
10
Enbridge Energy MLP
13,374,192$310.3B2749.32%
11
EQT Midstream MLP
3,461,938$278.0B2463.23%
12
WESWestern Gas Partners MLP
4,828,546$243.4B2156.34%
13
GELGenesis Energy MLP
5,882,900$225.7B2000.11%
14
NSUSDNuStar LP MLP
3,994,908$198.9B1762.81%
15
Spectra Energy Ptnrs MLP
4,144,229$195.5B1732.49%
16
DCP Midstream Ptnrs MLP
5,612,518$193.6B1715.22%
17
Tesoro Logistics LP MLP
3,793,943$187.9B1665.05%
18
SHLXUSDShell Midstream MLP
5,408,470$182.8B1619.32%
19
TC Pipelines LP MLP
2,975,904$170.4B1509.87%
20
Enlink Midstream Ptn MLP
9,238,404$153.6B1361.32%
21
IVViShs Core S&P 500 ETF
649,123$136.8B1211.89%
22
Phillips 66 Partners
2,281,266$127.5B1129.34%
23
Antero Midstream
4,177,751$116.4B1031.69%
24
NGLNGL Energy Partners
5,895,930$113.9B1009.32%
25
Tallgrass Energy MLP
2,408,755$110.9B982.22%
26
CQPCheniere Energy Part MLP
2,814,647$84.4B747.69%
27
BNDVgrd Total Bond Mkt ETF
936,190$78.9B699.30%
28
VEAVgrd MSCI EAFE ETF
1,929,118$68.2B604.43%
29
IJHiShs S&P MidCap 400 ETF
353,396$52.8B467.79%
30
BSVVgrd Short-Term Bond ETF
520,020$42.2B373.51%
31
Randgold Resources ADR
356,046$39.9B353.46%
32
VWOVgrd FTSE Emerge Mkt ETF
1,081,095$38.1B337.38%
33
SESpectra Energy Corp.
913,834$33.5B296.60%
34
BXUSDBlackstone Group LP
1,356,393$33.3B294.94%
35
Goldcorp, Inc. DL
1,726,089$33.0B292.58%
36
KMIKinder Morgan Inc
1,744,258$32.7B289.33%
37
OKEOneok Inc
675,261$32.0B283.91%
38
VBVgrd Small-Cap ETF
276,849$32.0B283.77%
39
CNPCenterpoint Energy
1,321,488$31.7B281.03%
40
CTLEURCenturylink Inc
987,998$28.7B253.97%
41
BACVerizon Comm.
509,819$28.5B252.25%
42
TAT&T Inc
657,998$28.4B251.93%
43
Coach Inc
695,886$28.4B251.20%
44
MOAltria Group Inc
408,364$28.2B249.53%
45
CINFCincinnati Financial
374,085$28.0B248.23%
46
JNJJohnson & Johnson
230,256$27.9B247.48%
47
DUKDuke Energy
324,054$27.8B246.34%
48
STXSeagate Technology
1,136,305$27.7B245.26%
49
SOSouthern Co/The
515,011$27.6B244.73%
50
ABBVAbbVie Inc.
443,246$27.4B243.15%
51
ETREntergy Corp
334,324$27.2B240.99%
52
WMTWal-Mart Stores Inc
371,192$27.1B240.16%
53
PGProcter & Gamble Co
319,548$27.1B239.74%
54
MRKMerck & Co Inc
465,228$26.8B237.49%
55
MATMattel Inc
851,254$26.6B236.01%
56
4I1Philip Morris Intl.
261,561$26.6B235.75%
57
NRANRG Energy Inc
1,764,731$26.5B234.39%
58
IBMIntl Bus Machines
174,072$26.4B234.11%
59
EMREmerson Electric Co
506,477$26.4B234.08%
60
PFEPfizer Inc
746,430$26.3B232.88%
61
QCOMQualcomm Inc
490,073$26.3B232.62%
62
GRMNGarmin Ltd
618,547$26.2B232.50%
63
CATCaterpillar Inc
345,841$26.2B232.31%
64
CLSCA Inc
798,412$26.2B232.26%
65
KOCoca-Cola Co/The
572,734$26.0B230.04%
66
IPInternational Paper
608,955$25.8B228.68%
67
FFord Motor Co
2,052,385$25.8B228.59%
68
COPConocoPhillips
591,017$25.8B228.32%
69
NUENucor Corp
520,666$25.7B227.95%
70
PBIPitney Bowes Inc
1,435,713$25.6B226.44%
71
MOSThe Mosiac Company
975,408$25.5B226.27%
72
ETNEaton Corp PLC
427,451$25.5B226.23%
73
Frontier Comm
5,145,649$25.4B225.24%
74
NOVEURNational-Oilwell Inc
750,626$25.3B223.81%
75
Dow Chemical Co/The
501,377$24.9B220.84%
76
EMBiShs JPM USD Emg. ETF
214,193$24.7B218.54%
77
PBCTEURPeople's United Fin.
1,674,800$24.6B217.56%
78
7HPHP Inc
1,951,223$24.5B216.98%
79
LYBLyondellBasell Ind. CL A
327,790$24.4B216.15%
80
METMetlife Inc
611,295$24.3B215.74%
81
NAVINavient Corporation
2,030,457$24.3B215.00%
82
WYNNWynn Resorts Ltd
262,208$23.8B210.59%
83
IVZInvesco Ltd.
925,205$23.6B209.38%
84
TIPiShs Barclays TIPS ETF
201,436$23.5B208.24%
85
STTSPDR BC HY Bond ETF
545,271$19.5B172.48%
86
SPYSPDR S&P 500 ETF
92,412$19.4B171.57%
87
VOOVgrd S&P 500 ETF
100,735$19.4B171.57%
88
VNQVgrd REIT ETF
208,556$18.5B163.85%
89
SCZiShs MSCI EAFE SC ETF
353,175$17.0B151.02%
90
ARCCAres Capital Corp
1,129,809$16.0B142.16%
91
XLUSPDR Utilities ETF
300,759$15.8B139.83%
92
IACIEURIAC/Interactive Corp
279,228$15.7B139.29%
93
XLFISPDR Consumer Staple ETF
284,278$15.7B138.92%
94
XLVSPDR Health Care ETF
216,931$15.6B137.86%
95
XLESPDR Energy Select ETF
227,210$15.5B137.39%
96
XLFSPDR Financial ETF
672,285$15.3B135.99%
97
XLKSPDR Technology ETF
353,086$15.3B135.66%
98
XLISPDR Industrial ETF
272,750$15.3B135.24%
99
XLYSPDR Consumer Disc. ETF
195,051$15.2B134.90%
100
XLBSPDR Materials ETF
321,973$14.9B132.20%
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