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Institutional Investment Manager
HOWARD HUGHES MEDICAL INSTITUTE
HOWARD HUGHES MEDICAL INSTITUTE (CIK: 0000810386) incorporated in Delaware, located at 4000 Jones Bridge Road, Chevy Chase, MD. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 151 holdings with a total value of $388,222,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 TEVA PHARMACEUTICAL INDS LTD 41,281 1,899,000 0.49%
102 EXPRESS SCRIPTS HLDG CO 28,475 2,008,000 0.52%
103 ALPHABET INC 2,681 2,156,000 0.56%
104 ASPEN TECHNOLOGY COM USD0.10 47,618 2,228,000 0.57%
105 SCHLUMBERGER LTD 30,000 2,359,000 0.61%
106 TIME WARNER INC 29,734 2,367,000 0.61%
107 ARAMARK 62,259 2,368,000 0.61%
108 RENAISSANCERE HOLDINGS LTD 19,779 2,377,000 0.61%
109 WALGREENS BOOTS ALLIANCE INC 29,902 2,411,000 0.62%
110 BROADCOM LTD 15,328 2,644,000 0.68%
111 CONSOL ENERGY INC 138,970 2,668,000 0.69%
112 GENERAL DYNAMICS CORP 17,366 2,695,000 0.69%
113 AERCAP HOLDINGS NV 70,552 2,716,000 0.70%
114 AON PLC 26,095 2,935,000 0.76%
115 CHENIERE ENERGY INC 73,614 3,210,000 0.83%
116 LOWES COS INC 45,072 3,255,000 0.84%
117 SPIRIT AEROSYSTEMS HLDGS INC 75,000 3,341,000 0.86%
118 GENERAL MTRS CO 107,990 3,431,000 0.88%
119 3M CO 20,000 3,525,000 0.91%
120 CARMAX INC 66,154 3,529,000 0.91%
121 HDFC BANK LTD 50,979 3,665,000 0.94%
122 BAKER HUGHES INC 75,000 3,785,000 0.97%
123 O REILLY AUTOMOTIVE INC NEW 13,690 3,835,000 0.99%
124 FACEBOOK INC 29,961 3,843,000 0.99%
125 GILEAD SCIENCES INC 50,000 3,956,000 1.02%
126 ZOETIS INC 77,785 4,046,000 1.04%
127 AMERICAN INTL GROUP INC 68,531 4,067,000 1.05%
128 APPLE INC 43,154 4,879,000 1.26%
129 PIONEER NAT RES CO 26,662 4,950,000 1.28%
130 DEERE & CO 60,000 5,121,000 1.32%
131 FLEETCOR TECHNOLOGIES INC 35,000 6,081,000 1.57%
132 MORGAN STANLEY 190,000 6,091,000 1.57%
133 CITIGROUPINC 130,000 6,140,000 1.58%
134 THERMO FISHER SCIENTIFIC INC 40,000 6,362,000 1.64%
135 HOME DEPOT INC 52,438 6,748,000 1.74%
136 DISNEY WALT CO 75,000 6,965,000 1.79%
137 MASTERCARD INCORPORATED 69,265 7,049,000 1.82%
138 PRICELINE GRP INC 4,804 7,069,000 1.82%
139 CHINA MOBILE LIMITED 115,000 7,075,000 1.82%
140 CONSTELLATION BRANDS INC 43,096 7,175,000 1.85%
141 L BRANDS INC 102,388 7,246,000 1.87%
142 CREDIT ACCEP CORP MICH 36,182 7,275,000 1.87%
143 AMERICAN TOWER CORP NEW 65,000 7,366,000 1.90%
144 SONY GROUP CORP 225,000 7,472,000 1.92%
145 AMAZON COM INC 9,878 8,271,000 2.13%
146 TAIWAN SEMICONDUCTOR MFG LTD 275,000 8,412,000 2.17%
147 SIGNET JEWELERS LIMITED 114,970 8,569,000 2.21%
148 ALPHABET INC 11,256 8,749,000 2.25%
149 MICROSOFT CORP 173,371 9,986,000 2.57%
150 VISA INC 160,033 13,235,000 3.41%
Page 3 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-021646, filed 2016.11.10).

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.