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Institutional Investment Manager
AMERIPRISE FINANCIAL INC
AMERIPRISE FINANCIAL INC (CIK: 0000820027) incorporated in Delaware, registered under Investment Advice, located at 1099 Ameriprise Financial Center, Minneapolis, MN. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 3,919 holdings with a total value of $170,359,874,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 BAIDU INC 668,208 126,316,000 0.07%
252 CANADIAN NAT RES LTD 5,747,504 125,468,000 0.07%
253 LENNAR 2,564,043 125,397,000 0.07%
254 ROVI CORP COM EXCHANGEDFOR CU 7,468,137 124,418,000 0.07%
255 AFLAC INC 2,074,815 124,280,000 0.07%
256 PPL CORP 3,625,462 123,775,000 0.07%
257 ILLINOIS TOOL WKS INC 1,334,450 123,730,000 0.07%
258 TE CONNECTIVITY LTD 1,907,382 123,233,000 0.07%
259 DANONE SPONSORED ADR 8,959,041 121,932,000 0.07%
260 CORNING INC 6,659,535 121,736,000 0.07%
261 EXTRA SPACE STORAGE INC 1,380,653 121,711,000 0.07%
262 PAYPAL HLDGS INC 3,358,272 121,558,000 0.07%
263 RADIAN GROUP INC 9,062,475 121,336,000 0.07%
264 BB&T CORP 3,186,768 120,480,000 0.07%
265 COCA COLA ENTERPRISES INC NE COM 2,440,262 120,144,000 0.07%
266 SMUCKER J M CO 968,506 119,420,000 0.07%
267 LUMEN TECHNOLOGIES INC 4,670,091 117,502,000 0.07%
268 JUNIPER NETWORKS 4,249,807 117,297,000 0.07%
269 WHIRLPOOL CORP 798,415 117,257,000 0.07%
270 SBA COMMUNICATIONS CORP 1,104,169 116,015,000 0.07%
271 NAVIENT 10,081,393 115,434,000 0.07%
272 RR DONNELLEY & SONS CO 7,837,184 115,362,000 0.07%
273 NOBLE ENERGY INC 3,482,866 114,689,000 0.07%
274 WASTE MGMT INC DEL 2,133,683 113,883,000 0.07%
275 EXPEDIA INC DEL 914,973 113,732,000 0.07%
276 NOVARTIS A G 1,316,152 113,219,000 0.07%
277 ADVANCED ENERGY INDS COM 3,992,601 112,711,000 0.07%
278 V F CORP 1,806,812 112,476,000 0.07%
279 RYANAIR HLDGS PLC 1,300,779 112,465,000 0.07%
280 MICHAELS COS INC 5,040,314 111,444,000 0.07%
281 3M CO 737,864 111,145,000 0.07%
282 WEC ENERGY GROUP INC 2,134,457 109,522,000 0.06%
283 ROYAL DUTCH SHELL PLC 2,378,828 108,922,000 0.06%
284 CERNER CORP 1,804,102 108,554,000 0.06%
285 YUM BRANDS INC 1,458,838 106,569,000 0.06%
286 ACCENTURE PLC IRELAND 1,019,789 106,569,000 0.06%
287 SPDR SER TR 4,104,950 106,278,000 0.06%
288 VODAFONE GROUP PLC NEW 3,288,632 106,081,000 0.06%
289 Dentsply Intl Inc 1,740,249 105,897,000 0.06%
290 MASCO CORP 3,738,191 105,791,000 0.06%
291 XCEL ENERGY INC 2,942,521 105,690,000 0.06%
292 CYPRESS SEMICONDUCTOR CORP 10,749,304 105,454,000 0.06%
293 JARDEN CORP 1,839,605 105,078,000 0.06%
294 CTRIP COM INTL LTD 2,254,274 104,439,000 0.06%
295 AVALONBAY COMM 565,586 104,176,000 0.06%
296 SEAGATE TECHNOLOGY PLC 2,820,779 103,401,000 0.06%
297 EOG RES INC 1,459,204 103,291,000 0.06%
298 CARNIVAL CORP 1,890,889 103,018,000 0.06%
299 EXELON CORP 3,707,667 102,961,000 0.06%
300 BIOMARIN PHARMACEUTICAL INC 977,271 102,379,000 0.06%
Page 6 of 79

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-014114, filed 2016.02.11).

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.