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Institutional Investment Manager
WESTPAC BANKING CORP
WESTPAC BANKING CORP (CIK: 0000719245), registered under Commercial Banks, Nec, located at Level 3, 275 Kent Street, Sydney, C3. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0001104659-17-007574) filed in 2017.02.09
#
Name
Shares
Value ($)
%
Options
Notes
2851 WELLTOWER INC 147,464 9,980,364 0.09%
2852 MICROSOFT CORP 158,576 9,983,945 0.09%
2853 3M CO 56,235 10,038,510 0.09%
2854 HCP INC 332,440 10,082,905 0.10%
2855 JOHNSON & JOHNSON 63,744 10,142,173 0.10%
2856 L BRANDS INC 168,419 10,300,506 0.10%
2857 BOSTON PROPERTIES 79,212 10,345,087 0.10%
2858 NORTHROP GRUMMAN CORP 32,241 10,355,768 0.10%
2859 ALPHABET INC 12,275 10,365,378 0.10%
2860 GENERAL GROWTH 409,253 10,485,062 0.10%
2861 STATE STR CORP 134,036 10,529,868 0.10%
2862 ALPHABET INC 12,874 10,547,797 0.10%
2863 FACEBOOK INC 66,627 10,586,157 0.10%
2864 AT&T INC 253,329 10,639,818 0.10%
2865 MERCK & CO INC 130,981 10,648,876 0.10%
2866 INTEL CORP 212,771 10,657,650 0.10%
2867 FIRSTENERGY CORP 249,677 10,678,769 0.10%
2868 STRYKER CORP 88,663 10,764,575 0.10%
2869 JD COM INC 423,231 10,766,997 0.10%
2870 WELLS FARGO CO NEW 199,171 10,805,027 0.10%
2871 BERKSHIRE HATHAWAY INC DEL 68,340 10,853,075 0.10%
2872 PNC FINL SVCS GROUP INC 67,337 10,876,585 0.10%
2873 AMAZON COM INC 10,528 10,902,681 0.10%
2874 EQUITY RESIDENTIAL 122,800 10,914,802 0.10%
2875 PROLOGIS INC 208,690 11,025,093 0.10%
2876 PROLOGIS INC 209,750 11,081,093 0.10%
2877 GENERAL ELECTRIC CO 373,062 11,098,595 0.10%
2878 ZIMMER BIOMET HLDGS INC 97,475 11,127,746 0.10%
2879 WELLS FARGO CO NEW 147,211 11,203,977 0.11%
2880 WELLTOWER INC 166,571 11,273,525 0.11%
2881 WELLTOWER INC 122,800 11,350,648 0.11%
2882 VISA INC 138,201 11,353,212 0.11%
2883 L BRANDS INC 185,791 11,362,978 0.11%
2884 VORNADO REALTY 106,172 11,381,638 0.11%
2885 SIMON PPTY GROUP INC NEW 61,787 11,430,595 0.11%
2886 TAIWAN SEMICONDUCTOR MFG LTD 289,240 11,484,118 0.11%
2887 PUBLIC STORAGE 37,300 11,512,982 0.11%
2888 AVALONBAY COMM 47,100 11,522,946 0.11%
2889 APPLIED MATLS INC 258,591 11,524,283 0.11%
2890 BOSTON PROPERTIES 66,700 11,586,143 0.11%
2891 STATE STR CORP 148,302 11,650,605 0.11%
2892 TYSON FOODS INC 137,813 11,739,133 0.11%
2893 HEWLETT PACKARD ENTERPRISE C 368,662 11,781,301 0.11%
2894 MICROSOFT CORP 138,397 11,876,798 0.11%
2895 STRYKER CORP 98,264 11,930,232 0.11%
2896 ZIMMER BIOMET HLDGS INC 107,745 12,300,169 0.12%
2897 DISNEY WALT CO 115,204 12,340,652 0.12%
2898 SIMON PPTY GROUP INC NEW 66,973 12,390,005 0.12%
2899 QUALCOMM INC 137,746 12,403,037 0.12%
2900 FACEBOOK INC 96,500 12,441,745 0.12%
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