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Institutional Investment Manager
Legal & General Group Plc
Legal & General Group Plc (CIK: 0000764068), located at One Coleman Street, London, X0. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 3,289 holdings with a total value of $107,212,653,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 SUNTRUST BKS INC 2,332,116 127,913,000 0.12%
202 FORTIS INC 4,094,653 126,587,000 0.12%
203 REGENERON PHARMACEUTICALS 344,204 126,354,000 0.12%
204 S&P GLOBAL INC 1,168,724 125,689,000 0.12%
205 CARDINAL HEALTH INC 1,739,365 125,189,000 0.12%
206 BAXTER INTL INC 2,766,170 122,649,000 0.11%
207 MARRIOTT INTL 1,476,254 122,060,000 0.11%
208 DEVON ENERGY CORP NEW 2,659,029 121,448,000 0.11%
209 VORNADO RLTY TR 1,162,677 121,342,000 0.11%
210 ROSS STORES INC 1,835,961 120,451,000 0.11%
211 PUBLIC SVC ENTERPRISE GRP IN 2,734,205 119,980,000 0.11%
212 BROOKFIELD ASSET MGMT INC 3,629,925 119,917,000 0.11%
213 CBS CORP NEW 1,874,183 119,247,000 0.11%
214 WILLIAMS COS INC DEL 3,817,972 118,888,000 0.11%
215 INTUITIVE SURGICAL INC 187,200 118,727,000 0.11%
216 FIDELITY NATL INFORMATION SV 1,562,265 118,209,000 0.11%
217 ALEXION PHARMACEUTIC 963,780 117,919,000 0.11%
218 ZOETIS INC 2,184,673 116,946,000 0.11%
219 CORNING INC 4,814,724 116,860,000 0.11%
220 O REILLY AUTOMOTIVE INC NEW 419,153 116,707,000 0.11%
221 CUMMINS INC 851,544 116,379,000 0.11%
222 TE CONNECTIVITY LTD 1,667,776 115,551,000 0.11%
223 AUTOZONE INC 146,011 115,353,000 0.11%
224 PAYCHEX INC 1,885,627 114,831,000 0.11%
225 FISERV INC 1,075,732 114,361,000 0.11%
226 PPG INDS INC 1,200,298 113,744,000 0.11%
227 ACTIVISION BLIZZARD INC 3,135,648 113,286,000 0.11%
228 HCA HOLDINGS INC 1,511,193 111,857,000 0.10%
229 MICRON TECHNOLOGY INC 5,091,987 111,632,000 0.10%
230 INTL PAPER CO 2,097,131 111,280,000 0.10%
231 FREEPORT-MCMORAN INC 8,305,455 109,606,000 0.10%
232 EQUINIX 305,112 109,049,000 0.10%
233 CONSTELLATION BRANDS INC 707,446 108,462,000 0.10%
234 ESSEX PPTY TR INC 462,845 107,594,000 0.10%
235 WEYERHAEUSER CO 3,521,477 105,969,000 0.10%
236 ST JUDE 1,313,059 105,291,000 0.10%
237 YUM BRANDS INC 1,653,677 104,730,000 0.10%
238 SUN LIFE FINL INC 2,709,856 104,167,000 0.10%
239 M & T BK CORP 661,345 103,451,000 0.10%
240 PACCAR INC 1,609,477 102,851,000 0.10%
241 DIGITAL RLTY TR INC 1,039,242 102,117,000 0.10%
242 FIFTH THIRD BANCORP 3,740,396 100,869,000 0.09%
243 AMEREN CORP 1,907,682 100,078,000 0.09%
244 NEWMONT CORP 2,930,077 99,938,000 0.09%
245 ANALOG DEVICES INC 1,366,212 99,221,000 0.09%
246 REALTY INCOME CORP 1,724,695 99,105,000 0.09%
247 AMERICAN WTR WKS CO INC NEW 1,346,449 97,435,000 0.09%
248 DTE ENERGY CO 988,740 97,404,000 0.09%
249 TESLA INC 455,329 97,300,000 0.09%
250 ELECTRONIC ARTS INC 1,219,486 96,050,000 0.09%
Page 5 of 66

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000764068-17-000002, filed 2017.02.13).

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.