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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 (2015Q4)
Portfolio Summary: 2,725 holdings with a total value of $743,320,927,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 AVAGO TECHNOLOGIES LTD SHS 17,173,052 2,492,669,000 0.34%
52 PRICELINE GRP INC 1,919,653 2,447,462,000 0.33%
53 AUTOZONE INC 3,291,259 2,441,820,000 0.33%
54 AT&T INC 70,737,744 2,434,087,000 0.33%
55 LYONDELLBASELL INDUSTRIES N 27,901,231 2,424,617,000 0.33%
56 Chubb Corporation 18,005,797 2,388,289,000 0.32%
57 AMPHENOL CORP NEW 44,158,959 2,306,422,000 0.31%
58 NETFLIX INC 19,808,753 2,265,724,000 0.30%
59 SCHLUMBERGER LTD 32,191,820 2,245,379,000 0.30%
60 CISCO SYS INC 81,320,626 2,208,261,000 0.30%
61 ACTIVISION BLIZZARD INC 55,257,274 2,139,010,000 0.29%
62 SOUTHWEST AIRLS CO 49,581,959 2,134,999,000 0.29%
63 MCKESSON CORP 10,763,522 2,122,889,000 0.29%
64 SUNCOR ENERGY INC NEW 82,093,553 2,119,232,000 0.29%
65 ACE LTD 18,087,465 2,113,521,000 0.28%
66 TORONTO DOMINION BK ONT 53,613,817 2,101,621,000 0.28%
67 COSTCO WHSL CORP NEW 12,971,900 2,094,962,000 0.28%
68 VERIZON COMMUNICATIONS INC 43,792,166 2,024,073,000 0.27%
69 BERKSHIRE HATHAWAY INC DEL 15,234,973 2,011,627,000 0.27%
70 COGNIZANT TECHNOLOGY SOLUTIO 33,362,791 2,002,433,000 0.27%
71 CAPITAL ONE FINL CORP 27,581,039 1,990,799,000 0.27%
72 ORACLE CORP 54,193,814 1,979,700,000 0.27%
73 VERTEX PHARMACEUTICALS INC 15,009,185 1,888,606,000 0.25%
74 MCDONALDS CORP 15,956,460 1,885,096,000 0.25%
75 S&P GLOBAL INC 19,099,487 1,882,827,000 0.25%
76 NXP SEMICONDUCTORS N V 22,003,084 1,853,760,000 0.25%
77 ROSS STORES INC 34,200,008 1,840,304,000 0.25%
78 ALKERMES PLC 22,508,708 1,786,741,000 0.24%
79 UNITED PARCEL SERVICE INC 18,369,118 1,767,660,000 0.24%
80 CHIPOTLE MEXICAN GRILL INC 3,678,948 1,765,343,000 0.24%
81 INTERNATIONAL BUSINESS MACHS 12,798,828 1,761,375,000 0.24%
82 ELECTRONIC ARTS INC 25,434,552 1,747,862,000 0.24%
83 EXXON MOBIL CORP 22,399,351 1,746,030,000 0.23%
84 BLACKROCK INC 5,117,908 1,742,749,000 0.23%
85 PPG INDS INC 17,281,976 1,707,805,000 0.23%
86 PUBLIC STORAGE 6,762,603 1,675,097,000 0.23%
87 TARGET CORP 21,860,019 1,587,255,000 0.21%
88 SIMON PPTY GROUP INC NEW 8,079,190 1,570,918,000 0.21%
89 CIGNA CORPORATION 10,674,269 1,561,965,000 0.21%
90 E M C CORP MASS COM 60,704,493 1,558,891,000 0.21%
91 BIOMARIN PHARMACEUTICAL INC 14,609,839 1,530,526,000 0.21%
92 ISHARES TR 15,563,587 1,523,053,000 0.20%
93 AMERICAN TOWER CORP NEW 15,485,415 1,501,311,000 0.20%
94 PHILIP MORRIS INTL INC 16,950,582 1,490,127,000 0.20%
95 ISHARES TR 14,924,208 1,484,660,000 0.20%
96 MONSANTO CO NEW 15,038,933 1,481,635,000 0.20%
97 L BRANDS INC 15,448,861 1,480,310,000 0.20%
98 GENERAL MTRS CO 43,146,784 1,467,421,000 0.20%
99 CONSTELLATION BRANDS INC 10,300,719 1,467,234,000 0.20%
100 EXELON CORP 52,820,489 1,466,825,000 0.20%
Page 2 of 55

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000315066-16-005622, filed 2016.02.12).

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.