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Institutional Investment Manager
FIL Ltd
FIL Ltd (CIK: 0000318989), located at P.O. Box H.M. 670, Hamilton, D0. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0000318989-15-000033) filed in 2015.02.17
#
Name
Shares
Value ($)
%
Options
Notes
151 LILLY ELI & CO 659,899 45,526 0.16%
152 HARRIS CORP 630,000 45,247 0.16%
153 SCHLUMBERGER LTD 529,592 45,232 0.16%
154 TATA MTRS LTD 1,068,344 45,170 0.16%
155 NETEASE INC 433,249 42,952 0.15%
156 NXP SEMICONDUCTORS N V 560,000 42,784 0.15%
157 PERRIGO CO PLC 254,664 42,570 0.15%
158 INTEL CORP 1,169,195 42,430 0.15%
159 GILEAD SCIENCES INC 448,970 42,320 0.15%
160 COOPER COS INC 260,274 42,188 0.15%
161 LUXOFT HLDG INC 1,088,480 41,917 0.14%
162 PFIZER INC 1,335,237 41,593 0.14%
163 MARATHON PETE CORP 454,598 41,032 0.14%
164 XILINX INC 935,000 40,476 0.14%
165 NETEASE INC 405,394 40,191 0.14%
166 PROCTER AND GAMBLE CO 438,161 39,912 0.14%
167 ABBOTT LABS 866,225 38,997 0.13%
168 21VIANET GROUP INC 2,468,372 38,186 0.13%
169 MEDNAX INC 577,130 38,154 0.13%
170 INTERCONTINENTAL EXCHANGE IN 173,976 38,151 0.13%
171 HOME DEPOT INC 362,057 38,005 0.13%
172 COSTCO WHSL CORP NEW 263,569 37,361 0.13%
173 CVS HEALTH CORP 382,954 36,882 0.13%
174 NORFOLK SOUTHERN CORP 333,816 36,590 0.13%
175 HARLEY DAVIDSON INC 553,459 36,478 0.13%
176 CITIGROUPINC 665,324 36,001 0.12%
177 ACTIVISION BLIZZARD INC 1,783,391 35,935 0.12%
178 Wuxi Pharmatech Inc ADR 1,064,341 35,836 0.12%
179 BIOMARIN PHARMACEUTICAL INC 393,886 35,607 0.12%
180 YUM BRANDS INC 487,272 35,498 0.12%
181 VERIZON COMMUNICATIONS INC 756,617 35,395 0.12%
182 CONCHO RESOURCES 350,295 34,942 0.12%
183 WELLS FARGO & CO NEW 623,718 34,192 0.12%
184 LAM RESEARCH CORP 421,141 33,413 0.12%
185 SIMON PPTY GROUP INC NEW 181,965 33,138 0.11%
186 TIME WARNER INC 383,076 32,722 0.11%
187 BROWN FORMAN CORP 371,594 32,641 0.11%
188 BIOGEN INC 94,255 31,995 0.11%
189 COOPER COS INC 197,155 31,957 0.11%
190 21VIANET GROUP INC 2,061,275 31,888 0.11%
191 GOOGLE INC 59,525 31,334 0.11%
192 RYMAN HOSPITALITY PPTYS INC 589,241 31,077 0.11%
193 CELGENE CORP 275,188 30,783 0.11%
194 VIACOM INC NEW 407,136 30,637 0.11%
195 UNITEDHEALTH GROUP INC 301,028 30,431 0.11%
196 TRIPADVISOR INC 407,433 30,419 0.10%
197 GENERAL DYNAMICS CORP 220,845 30,393 0.10%
198 UNITEDHEALTH GROUP INC 299,470 30,273 0.10%
199 VALEANT PHARMACEUTICALS INTL 211,099 30,213 0.10%
200 DEVON ENERGY CORP NEW 492,917 30,171 0.10%
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