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Institutional Investment Manager
FMR LLC
FMR LLC (CIK: 0000315066) incorporated in Delaware, located at 245 Summer Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 2,720 holdings with a total value of $780,478,346,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ALEXION PHARMACEUTIC 14,940,002 2,700,704,000 0.35%
52 ADOBE INC 33,295,873 2,697,299,000 0.35%
53 VERIZON COMMUNICATIONS INC 57,017,226 2,657,573,000 0.34%
54 BOEING CO 18,702,475 2,594,407,000 0.33%
55 AMPHENOL CORP NEW 43,893,555 2,544,509,000 0.33%
56 INTERNATIONAL BUSINESS MACHS 15,638,432 2,543,747,000 0.33%
57 CISCO SYS INC 89,687,442 2,462,818,000 0.32%
58 S&P GLOBAL INC 24,397,105 2,450,689,000 0.31%
59 MONSTER BEVERAGE CORP NEW 18,073,214 2,422,171,000 0.31%
60 BLACKROCK INC 6,966,054 2,410,116,000 0.31%
61 MONSANTO CO NEW 22,234,051 2,369,928,000 0.30%
62 LAUDER ESTEE COS INC 26,997,885 2,339,636,000 0.30%
63 CHIPOTLE MEXICAN GRILL INC 3,796,814 2,297,034,000 0.29%
64 TORONTO DOMINION BK ONT 52,743,314 2,239,796,000 0.29%
65 UNION PAC CORP 23,219,766 2,214,470,000 0.28%
66 ABBVIE INC 31,497,620 2,116,325,000 0.27%
67 BLACKSTONE GROUP L P 50,327,730 2,056,894,000 0.26%
68 Hewlett Packard Co 68,474,437 2,054,917,000 0.26%
69 SUNCOR ENERGY INC NEW 74,199,468 2,043,604,000 0.26%
70 VERTEX PHARMACEUTICALS INC 16,510,395 2,038,704,000 0.26%
71 CF INDS HLDGS INC 31,182,220 2,004,394,000 0.26%
72 TARGET CORP 24,432,678 1,994,440,000 0.26%
73 EOG RES INC 22,772,994 1,993,776,000 0.26%
74 ALIBABA GROUP HLDG LTD 23,702,849 1,950,033,000 0.25%
75 UNITED TECHNOLOGIES CORP 17,428,076 1,933,297,000 0.25%
76 METLIFE INC 34,066,682 1,907,394,000 0.24%
77 BIOMARIN PHARMACEUTICAL INC 13,858,562 1,895,574,000 0.24%
78 COSTCO WHSL CORP NEW 14,023,437 1,894,006,000 0.24%
79 BERKSHIRE HATHAWAY INC DEL 13,866,398 1,887,356,000 0.24%
80 UNITED PARCEL SERVICE INC 18,776,749 1,819,655,000 0.23%
81 AETNA INC NEW 14,252,052 1,816,567,000 0.23%
82 AUTOZONE INC 2,714,540 1,810,326,000 0.23%
83 MCDONALDS CORP 18,932,982 1,799,959,000 0.23%
84 ISHARES TR 17,344,197 1,789,054,000 0.23%
85 MORGAN STANLEY 46,053,880 1,786,430,000 0.23%
86 BROADCOM CORP CL A 34,608,333 1,781,983,000 0.23%
87 KEURIG GREEN MTN INC 23,095,075 1,769,776,000 0.23%
88 DEERE & CO 18,229,006 1,769,125,000 0.23%
89 ANTHEM INC 10,634,515 1,745,549,000 0.22%
90 CANADIAN PAC RY LTD 10,786,212 1,727,347,000 0.22%
91 CIGNA CORPORATION 10,454,782 1,693,674,000 0.22%
92 EXXON MOBIL CORP 20,036,282 1,667,019,000 0.21%
93 NVIDIA CORPORATION 82,749,195 1,664,086,000 0.21%
94 COGNIZANT TECHNOLOGY SOLUTIO 27,138,860 1,657,913,000 0.21%
95 PPG INDS INC 14,357,336 1,647,074,000 0.21%
96 SEAGATE TECHNOLOGY PLC 34,536,325 1,640,475,000 0.21%
97 NXP SEMICONDUCTORS N V 16,406,022 1,611,071,000 0.21%
98 ROYAL BK CDA MONTREAL QUE 26,272,085 1,606,615,000 0.21%
99 ANADARKO PETE CORP 20,268,480 1,582,157,000 0.20%
100 JAZZ PHARMACEUTICALS PLC 8,967,111 1,578,839,000 0.20%
Page 2 of 55

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000315066-15-002920, filed 2015.08.13).

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.