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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 (2015Q4)
Portfolio Summary: 307 holdings with a total value of $3,921,362,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 PNC FINL SVCS GROUP INC 49,183 4,688,000 0.12%
252 STARBUCKS CORP 82,356 4,944,000 0.13%
253 UNITEDHEALTH GROUP INC 42,627 5,015,000 0.13%
254 ORACLE CORP 137,862 5,036,000 0.13%
255 AMGEN INC 31,651 5,138,000 0.13%
256 BERKSHIRE HATHAWAY INC DEL 39,399 5,202,000 0.13%
257 BRISTOL MYERS SQUIBB CO 75,800 5,214,000 0.13%
258 ALLERGAN PLC 16,918 5,287,000 0.13%
259 PEPSICO INC 53,566 5,352,000 0.14%
260 COMCAST CORP NEW 101,931 5,752,000 0.15%
261 CITIGROUPINC 113,172 5,857,000 0.15%
262 INTEL CORP 179,545 6,185,000 0.16%
263 GILEAD SCIENCES INC 62,299 6,304,000 0.16%
264 CISCO SYS INC 242,549 6,586,000 0.17%
265 PHILIP MORRIS INTL INC 75,261 6,616,000 0.17%
266 VISA INC 86,505 6,708,000 0.17%
267 BANK AMER CORP 413,260 6,955,000 0.18%
268 CHEVRON CORP NEW 81,951 7,372,000 0.19%
269 HOME DEPOT INC 55,863 7,388,000 0.19%
270 DISNEY WALT CO 74,000 7,776,000 0.20%
271 AT&T INC 236,969 8,154,000 0.21%
272 ALPHABET INC 11,298 8,790,000 0.22%
273 JPMORGAN CHASE & CO 145,624 9,616,000 0.25%
274 FACEBOOK INC 91,885 9,617,000 0.25%
275 ALPHABET INC 14,312 10,861,000 0.28%
276 AMAZON COM INC 17,190 11,619,000 0.30%
277 GENERAL ELECTRIC CO 392,422 12,224,000 0.31%
278 WELLS FARGO & CO NEW 230,264 12,517,000 0.32%
279 EXXON MOBIL CORP 170,205 13,267,000 0.34%
280 ABBOTT LABS 329,419 14,794,000 0.38%
281 WISDOMTREE TR 916,313 18,198,000 0.46%
282 MICROSOFT CORP 334,167 18,540,000 0.47%
283 ABBVIE INC 331,812 19,657,000 0.50%
284 VANGUARD INDEX FDS 273,938 21,841,000 0.56%
285 APPLE INC 240,451 25,310,000 0.65%
286 ISHARES TR 626,772 26,212,000 0.67%
287 ISHARES TR 795,800 28,084,000 0.72%
288 COLGATE PALMOLIVE CO 455,024 30,314,000 0.77%
289 COCA COLA CO 710,608 30,528,000 0.78%
290 PROCTER AND GAMBLE CO 390,721 31,027,000 0.79%
291 MERCK & CO INC 684,761 36,169,000 0.92%
292 ISHARES INC 760,777 37,788,000 0.96%
293 PFIZER INC 1,286,393 41,525,000 1.06%
294 VANGUARD INTL EQUITY INDEX F 1,275,000 41,705,000 1.06%
295 JOHNSON & JOHNSON 420,893 43,234,000 1.10%
296 ISHARES MSCI TAIWAN ETF 3,806,672 48,611,000 1.24%
297 ISHARES INC 2,935,100 55,649,000 1.42%
298 VERIZON COMMUNICATIONS INC 1,224,547 56,599,000 1.44%
299 ISHARES TR 2,520,300 81,128,000 2.07%
300 ISHARES TR 1,642,700 120,591,000 3.08%
Page 6 of 7

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-16-049664, filed 2016.02.02).

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.