Plante Moran Financial Advisors, LLC Q4 2016 Filing

Filed January 27, 2017

Portfolio Value

$160.3M

Holdings

990

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (990 positions)

StockValue
SSNCSS&C Technologies Holdings Inc
$3K
CTLTEURCatalent Inc
$3K
SSDSimpson Manufacturing
$3K
NSYNICE-Systems Ltd ADR
$3K
LogMeIn Inc
$3K
DDD3D Systems Corp
$3K
SMSM Energy Co
$3K
Park Sterling Corp
$3K
Taser International Inc
$3K
DONWisdomTree MidCap Dividend
$3K
MNSTMonster Beverage Corp
$3K
THSTreehouse Foods Inc
$3K
HDBHDFC Bank Limited
$3K
OncoMed Pharmaceuticals Inc
$3K
MYLMylan Inc
$3K
AVX Corporation
$3K
ABMABM Industries Inc
$3K
Covisint Corp
$3K
VCRVanguard Consumer Discretionar
$3K
CNOBConnectOne Bancorp Inc
$3K
CCThe Chemours Co
$3K
JC Penney Co Inc
$3K
CENTACentral Garden & Pet Company A
$3K
RIORio Tinto PLC ADR
$3K
Synchronoss Technologies, Inc.
$3K
HPHelmerich & Payne Inc
$3K
WSOWatsco Inc
$3K
NTT DoCoMo Incorporated
$3K
PNRPentair PLC
$3K
IARTIntegra Lifesciences Holdings
$3K
Invuity Inc
$3K
HPPHudson Pacific Properties Inc
$3K
PFLTPennantPark Floating Rate Capi
$3K
RHT1EURRed Hat Inc
$3K
LPI1EURLaredo Petroleum Inc
$3K
CLNEClean Energy Fuels Corp
$3K
Allied World Assurance Com Hld
$3K
VSMEURVersum Materials Inc
$3K
KLACKLA-Tencor Corp
$2K
PHMPulteGroup Inc
$2K
ACHOwens & Minor Inc
$2K
Medicines
$2K
YUSDAlleghany Corp
$2K
ORMPOramed Pharmaceuticals Inc
$2K
Osiris Therapeutics Inc
$2K
RGSUSDRegis Corp
$2K
HOLXHologic Inc
$2K
ERICLM Ericsson Telephone Company
$2K
Arena Pharmaceuticals Inc
$2K
Monotype Imaging Holdings Inc
$2K
Ramco-Gershenson Properties Tr
$2K
Esterline Technologies Corp
$2K
TRIPTripAdvisor Inc
$2K
DTDWisdomTree Total Dividend ETF
$2K
Halyard Health Inc
$2K
PDC Energy Inc
$2K
CTLEURCenturyLink Inc
$2K
SPNEUSDSeaSpine Holdings Corp
$2K
AWMSkyworks Solutions Inc
$2K
TUPTupperware Brands Corp
$2K
RLRalph Lauren Corp Class A
$2K
NVECNVE Corp
$2K
EXPEExpedia Inc
$2K
SLMSLM Corp
$2K
SLG2EURSL Green Realty Corporation
$2K
TLVGrupo Televisa SAB ADR
$2K
INGING Groep N.V. ADR
$2K
ULTAUlta Salon Cosmetics & Fragran
$2K
IRMIron Mountain, Inc
$2K
TMToyota Motor Corp ADR
$2K
EMNEastman Chemical Co
$2K
WKWorkiva Inc Class A
$2K
ENDPEndo International PLC
$2K
SLABSilicon Laboratories
$2K
NGGNational Grid PLC ADR
$2K
HTEURHersha Hospitality Trust
$2K
DLPHDelphi Automotive PLC
$2K
SNNSmith & Nephew PLC ADR
$2K
MeetMe Inc
$2K
GRFSGrifols SA ADR
$2K
ALNYAlnylam Pharmaceuticals Inc
$2K
AKAMAkamai Technologies Inc
$2K
AQLTiShares Floating Rate Note
$2K
TTWOTake-Two Interactive Software
$2K
VTYVerint Systems Inc
$2K
Amira Nature Foods LTD
$2K
ASIXAdvanSix Inc
$2K
VMBSVanguard Mortgage-Backed Secur
$2K
EVREvercore Partners Inc
$2K
CHKEURChesapeake Energy Corp
$2K
Barracuda Networks Inc
$2K
SMFGSumitomo Mitsui Financial Grou
$2K
MXIMMaxim Integrated Products Inc
$2K
QRVOQorvo Inc
$2K
Access National Corp
$2K
Time Inc
$2K
ITGRInteger Holdings Corp
$2K
COLMColumbia Sportswear Co
$1K
VAREURVarian Medical Systems Inc
$1K
BXUSDBlackstone Group LP
$1K
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