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Institutional Investment Manager
TIAA CREF INVESTMENT MANAGEMENT LLC
TIAA CREF INVESTMENT MANAGEMENT LLC (CIK: 0000887793) incorporated in Delaware, located at 730 Third Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 3,110 holdings with a total value of $159,750,667,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 Alcoa 5,104,591 5,104,591,000 3.20%
2 MELCO ENTMT ADR 4,092,795 4,092,795,000 2.56%
3 APPLE INC 34,674,500 3,919,952,000 2.45%
4 MICROSOFT CORP 49,282,119 2,838,650,000 1.78%
5 AMAZON COM INC 2,969,160 2,486,107,000 1.56%
6 TORONTO DOMINION BK ONT 2,350,000 2,350,000,000 1.47%
7 FACEBOOK INC 16,360,378 2,098,546,000 1.31%
8 ALPHABET INC 2,579,804 2,005,256,000 1.26%
9 INTERVAL LEISURE GROUP INC 1,842,156 1,842,156,000 1.15%
10 JOHNSON & JOHNSON 14,729,337 1,739,977,000 1.09%
11 CTRIP COM INTL LTD 1,582,058 1,582,058,000 0.99%
12 ALPHABET INC 1,887,977 1,518,047,000 0.95%
13 AMERICAN CAPITAL AGENCY CORP 1,450,974 1,450,974,000 0.91%
14 VISA INC 17,120,811 1,415,891,000 0.89%
15 COMCAST CORP NEW 20,673,605 1,371,487,000 0.86%
16 EXXON MOBIL CORP 15,237,631 1,329,940,000 0.83%
17 BCE INC 1,229,021 1,229,021,000 0.77%
18 WELLS FARGO & CO NEW 27,710,384 1,227,016,000 0.77%
19 PROCTER AND GAMBLE CO 13,579,356 1,218,747,000 0.76%
20 HOME DEPOT INC 9,135,046 1,175,498,000 0.74%
21 CINCINNATI BELL INC 1,164,753 1,164,753,000 0.73%
22 VERIZON COMMUNICATIONS INC 21,255,716 1,104,872,000 0.69%
23 JD COM INC ADR 1,084,655 1,084,655,000 0.68%
24 GENERAL ELECTRIC CO 36,018,253 1,066,861,000 0.67%
25 JPMORGAN CHASE & CO 15,862,705 1,056,298,000 0.66%
26 SYNERGY PHARMACEUTICALS DEL COM NEW 1,037,567 1,037,567,000 0.65%
27 BERKSHIRE HATHAWAY INC DEL 6,992,871 1,010,260,000 0.63%
28 RR DONNELLEY & SONS CO 973,410 973,410,000 0.61%
29 BAIDU INC 949,645 949,645,000 0.59%
30 AT&T INC 23,342,230 947,928,000 0.59%
31 3M CO 5,355,892 943,869,000 0.59%
32 CISCO SYS INC 29,560,070 937,645,000 0.59%
33 PFIZER INC 27,091,060 917,574,000 0.57%
34 ALLERGAN PLC 3,882,736 894,233,000 0.56%
35 ORACLE CORP 22,746,521 893,483,000 0.56%
36 HONEYWELL INTL INC 7,588,375 884,729,000 0.55%
37 BANK AMER CORP 56,051,169 877,201,000 0.55%
38 DISNEY WALT CO 9,377,119 870,759,000 0.55%
39 MASTERCARD INCORPORATED 8,392,602 854,115,000 0.53%
40 PEPSICO INC 7,808,777 849,361,000 0.53%
41 CHEVRON CORP NEW 8,157,131 839,532,000 0.53%
42 PHILIP MORRIS INTL INC 8,588,542 834,978,000 0.52%
43 MERCK & CO INC 13,249,072 826,875,000 0.52%
44 INTEL CORP 21,866,347 825,455,000 0.52%
45 RYANAIR HLDGS PLC 811,201 811,201,000 0.51%
46 EOG RES INC 8,330,252 805,619,000 0.50%
47 UNITEDHEALTH GROUP INC 5,661,469 792,606,000 0.50%
48 NEWS CORP CL A 740,285 740,285,000 0.46%
49 UNION PAC CORP 7,384,705 720,230,000 0.45%
50 WAL-MART STORES INC 9,776,421 705,075,000 0.44%
Page 1 of 63

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000930413-16-008663, filed 2016.11.08).

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.