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Institutional Investment Manager
NIPPON LIFE INSURANCE CO
NIPPON LIFE INSURANCE CO (CIK: 0000905591), located at 1-6-6 Marunouchi, Tokyo, M0. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Portfolio Summary: 266 holdings with a total value of $3,585,681,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 PRINCIPAL FINL GROUP INC 18,137,000 834,121,000 23.26%
2 SPDR S&P 500 ETF TR 1,435,060 268,414,000 7.49%
3 MARSH & MCLENNAN COS INC 5,245,400 258,598,000 7.21%
4 PRUDENTIAL FINL INC 2,596,079 219,758,000 6.13%
5 ISHARES TR 2,653,500 194,528,000 5.43%
6 ISHARES TR 979,600 184,331,000 5.14%
7 ISHARES TR 1,642,700 117,354,000 3.27%
8 ISHARES INC 2,935,100 75,931,000 2.12%
9 ISHARES 4,289,770 61,687,000 1.72%
10 VERIZON COMMUNICATIONS INC 1,269,506 60,390,000 1.68%
11 ISHARES INC 888,720 54,656,000 1.52%
12 VANGUARD INTL EQUITY INDEX F 1,275,000 51,740,000 1.44%
13 JOHNSON & JOHNSON 438,504 43,074,000 1.20%
14 PFIZER INC 1,335,700 42,903,000 1.20%
15 MERCK & CO INC 731,267 41,514,000 1.16%
16 ISHARES TR 940,000 38,531,000 1.07%
17 ISHARES 799,400 35,989,000 1.00%
18 PROCTER AND GAMBLE CO 421,043 33,936,000 0.95%
19 COLGATE PALMOLIVE CO 463,234 30,050,000 0.84%
20 ISHARES TR 795,800 28,474,000 0.79%
21 COCA COLA CO 727,258 28,116,000 0.78%
22 APPLE INC 45,033 24,171,000 0.67%
23 ISHARES TR 626,772 22,595,000 0.63%
24 EXXON MOBIL CORP 213,259 20,831,000 0.58%
25 VANGUARD INDEX FDS 255,975 18,077,000 0.50%
26 ABBVIE INC 338,364 17,392,000 0.49%
27 MICROSOFT CORP 409,756 16,796,000 0.47%
28 ISHARES NASDAQ BIOTECHNOLOGY ETF 14,096 15,710,000 0.44%
29 WISDOMTREE TR 730,500 13,850,000 0.39%
30 GENERAL ELECTRIC CO 499,195 12,924,000 0.36%
31 ABBOTT LABS 332,728 12,813,000 0.36%
32 WELLS FARGO & CO NEW 240,822 11,978,000 0.33%
33 JPMORGAN CHASE & CO 186,639 11,331,000 0.32%
34 CHEVRON CORP NEW 90,550 10,767,000 0.30%
35 BANK AMER CORP 586,844 10,094,000 0.28%
36 INTERNATIONAL BUSINESS MACHS 45,246 8,709,000 0.24%
37 AT&T INC 244,815 8,586,000 0.24%
38 SCHLUMBERGER LTD 79,450 7,746,000 0.22%
39 ORACLE CORP 187,416 7,667,000 0.21%
40 CITIGROUP INC 160,172 7,624,000 0.21%
41 HOME DEPOT INC 88,806 7,027,000 0.20%
42 DISNEY WALT CO 86,502 6,926,000 0.19%
43 AMAZON COM INC 20,114 6,769,000 0.19%
44 PHILIP MORRIS INTL INC 82,278 6,736,000 0.19%
45 QUALCOMM INC 84,986 6,702,000 0.19%
46 COMCAST CORP NEW 131,614 6,583,000 0.18%
47 GILEAD SCIENCES INC 91,566 6,488,000 0.18%
48 CVS HEALTH CORP 83,270 6,234,000 0.17%
49 FACEBOOK INC 99,111 5,970,000 0.17%
50 CISCO SYS INC 263,155 5,897,000 0.16%
Page 1 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-14-020353, filed 2014.05.13).

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.