STIFEL FINANCIAL CORP Q1 2016 Filing

Filed May 16, 2016

Portfolio Value

$18.8M

Holdings

2,232

Report Date

Q1 2016

Filing Type

13F-HR

All Holdings (2,232 positions)

StockValue
ADSKAUTODESK INC
$396K
POWERSHARES ETF TRUST II
$395K
CLAYMORE EXCHANGE TRD FD TR
$394K
AONAON PLC
$394K
FNLCFIRST BANCORP INC ME
$394K
AQLTISHARES TR
$393K
RMAXRE MAX HLDGS INC
$393K
POWERSHARES ETF TRUST II
$393K
PHYS/USPROTT PHYSICAL GOLD TRUST
$392K
BBBLACKBERRY LTD
$392K
ITCIEURINTRA CELLULAR THERAPIES INC
$392K
FBINFORTUNE BRANDS HOME & SEC IN
$391K
KIESPDR SERIES TRUST
$391K
GW PHARMACEUTICALS PLC
$390K
HBANHUNTINGTON BANCSHARES INC
$390K
FXUFIRST TR EXCHANGE TRADED FD
$388K
CABOT MICROELECTRONICS CORP
$387K
WCNWASTE CONNECTIONS INC
$386K
WORLD PT TERMS LP
$386K
IPHIINPHI CORP
$386K
ASMLASML HOLDING N V
$385K
LENLENNAR CORP
$384K
MINTPIMCO ETF TR
$383K
CM FIN INC
$382K
HESHESS CORP
$382K
LOWLOWES COS INC
$381K
POWERSHS DB MULTI SECT COMM
$380K
9990302DAPACHE CORP
$378K
CWCURTISS WRIGHT CORP
$378K
XETYXEATON VANCE TX MGD DIV EQ IN
$378K
VOXVANGUARD WORLD FDS
$377K
DEPOMED INC
$377K
G & K SVCS INC
$376K
MGCVANGUARD WORLD FD
$375K
IBKRINTERACTIVE BROKERS GROUP IN
$375K
CAPITAL PRODUCT PARTNERS L P
$375K
INTERSIL CORP
$371K
RWXSPDR INDEX SHS FDS
$371K
TRANSMONTAIGNE PARTNERS L P
$370K
LINKEDIN CORP
$370K
PMTPENNYMAC MTG INVT TR
$369K
HORIZON PHARMA PLC
$369K
CR1USDCRANE CO
$369K
LACLEDE GROUP INC
$368K
TRMBTRIMBLE NAVIGATION LTD
$367K
MGNXMACROGENICS INC
$367K
IVREURINVESCO MORTGAGE CAPITAL INC
$366K
DSIISHARES
$366K
CSFLUSDCENTERSTATE BANKS INC
$365K
AWGASBURY AUTOMOTIVE GROUP INC
$364K
IPACISHARES TR
$364K
POWERSHARES GLOBAL ETF TRUST
$363K
TESSERA TECHNOLOGIES INC
$362K
WCGEURWELLCARE HEALTH PLANS INC
$361K
PWVUSDPOWERSHARES ETF TRUST
$361K
MNRUSDMONMOUTH REAL ESTATE INVT CO
$360K
NACNUVEEN CA DIVIDEND ADV MUN F
$360K
GUGGENHEIM CR ALLOCATION FD
$359K
BCPCBALCHEM CORP
$359K
FRFIRST INDUSTRIAL REALTY TRUS
$358K
HCSGHEALTHCARE SVCS GRP INC
$358K
ALLEALLEGION PUB LTD CO
$358K
CVENT INC
$356K
TELFYTELEFONICA S A
$356K
BABAALIBABA GROUP HLDG LTD
$355K
CVXCHEVRON CORP NEW
$353K
EQREQUITY RESIDENTIAL
$353K
CINCINNATI BELL INC NEW
$353K
STIPISHARES TR
$353K
SUNTRUST BKS INC
$352K
HEFAISHARES TR
$352K
RMERESMED INC
$351K
TLVGRUPO TELEVISA SA
$351K
TESSCO TECHNOLOGIES INC
$350K
KWRQUAKER CHEM CORP
$349K
WTHWORTHINGTON INDS INC
$349K
MDYSPDR S&P MIDCAP 400 ETF TR
$349K
BYMBLACKROCK MUNICIPL INC QLTY
$348K
FMSFRESENIUS MED CARE AG&CO KGA
$347K
LMP CORPORATE LN FD INC
$347K
BKBANK NEW YORK MELLON CORP
$347K
ATMEL CORP
$346K
ROVI CORP
$346K
POWERSHARES ETF TR II
$345K
INGING GROEP N V
$345K
FDXFEDEX CORP
$345K
EWGISHARES
$344K
MORGAN STANLEY ASIA PAC FD I
$344K
YRIYAMANA GOLD INC
$343K
EBFENNIS INC
$343K
KLACKLA-TENCOR CORP
$342K
HIXWESTERN ASSET HIGH INCM FD I
$342K
SFMSPROUTS FMRS MKT INC
$341K
RYDEX ETF TRUST
$340K
IYKISHARES TR
$340K
FDTSFIRST TR EXCH TRD ALPHA FD I
$340K
XMESPDR SERIES TRUST
$340K
GREAT PLAINS ENERGY INC
$339K
NUVEEN CONN PREM INCOME MUN
$339K
DIVGLOBAL X FDS
$338K
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