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Institutional Investment Manager
ACADIAN ASSET MANAGEMENT LLC
ACADIAN ASSET MANAGEMENT LLC (CIK: 0000916542) incorporated in Delaware, located at 260 Franklin Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 1,646 holdings with a total value of $20,576,200,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BANK MONTREAL QUE 6,137,236 441,944,000 2.15%
2 ROYAL BK CDA MONTREAL QUE 6,378,090 432,183,000 2.10%
3 BERKSHIRE HATHAWAY INC DEL 2,519,102 410,567,000 2.00%
4 CDN IMPERIAL BK COMM TORONTO 4,974,372 406,396,000 1.98%
5 AT&T INC 9,547,364 406,052,000 1.97%
6 PROCTER AND GAMBLE CO 4,509,070 379,123,000 1.84%
7 PEPSICO INC 3,373,395 352,961,000 1.72%
8 MICROSOFT CORP 5,643,939 350,712,000 1.70%
9 GENERAL ELECTRIC CO 10,654,603 336,692,000 1.64%
10 COCA COLA CO 8,069,953 334,584,000 1.63%
11 JPMORGAN CHASE & CO 3,757,560 324,236,000 1.58%
12 BP PLC 7,904,080 295,456,000 1.44%
13 NETEASE INC 1,344,970 289,625,000 1.41%
14 APPLE INC 2,454,943 284,334,000 1.38%
15 WAL-MART STORES INC 3,540,593 244,730,000 1.19%
16 TORONTO DOMINION BK ONT 4,569,545 225,639,000 1.10%
17 WELLCARE HEALTH PLANS INC COM 1,594,406 218,561,000 1.06%
18 METTLER-TOLEDO 517,157 216,460,000 1.05%
19 EXXON MOBIL CORP 2,312,137 208,694,000 1.01%
20 VOYA FINANCIAL INC 5,306,578 208,131,000 1.01%
21 INTERNATIONAL GAME TECHNOLOG 7,915,087 201,994,000 0.98%
22 ALTRIA GROUP INC 2,961,584 200,256,000 0.97%
23 DISNEY WALT CO 1,771,909 184,671,000 0.90%
24 ICON PLC 2,282,508 171,643,000 0.83%
25 CREDICORP LTD 1,083,522 171,045,000 0.83%
26 BIO RAD LABS INC CL A 929,522 169,432,000 0.82%
27 CEMEX SAB DE CV 20,870,846 167,592,000 0.81%
28 TAIWAN SEMICONDUCTOR MFG LTD 5,707,789 164,097,000 0.80%
29 UNITED THERAPEUTICS 1,143,084 163,959,000 0.80%
30 UNITED PARCEL SERVICE INC 1,401,330 160,644,000 0.78%
31 TERNIUM SA 6,214,401 150,081,000 0.73%
32 ALPHABET INC 192,114 148,279,000 0.72%
33 HOME DEPOT INC 1,101,427 147,676,000 0.72%
34 NEW ORIENTAL ED & TECH GRP I 3,254,500 137,017,000 0.67%
35 MAGNA INTL INC 3,059,532 133,010,000 0.65%
36 RELIANCE STEEL & ALUMINUM CO 1,663,874 132,344,000 0.64%
37 WASTE MGMT INC DEL 1,827,425 129,583,000 0.63%
38 SYSCO CORP 2,334,426 129,251,000 0.63%
39 INTEL CORP 3,385,119 122,778,000 0.60%
40 SPECTRUM BRANDS HLDGS INC 983,584 120,321,000 0.58%
41 PRA HEALTH SCIENCES INC 2,145,247 118,246,000 0.57%
42 PHILIP MORRIS INTL INC 1,288,720 117,909,000 0.57%
43 BRUKER CORP 5,559,206 117,741,000 0.57%
44 COLGATE PALMOLIVE CO 1,794,445 117,429,000 0.57%
45 BCE INC 2,699,321 116,721,000 0.57%
46 CLOROX CO DEL 968,078 116,188,000 0.56%
47 QUEST DIAGNOSTICS INC 1,259,831 115,777,000 0.56%
48 WELLS FARGO & CO NEW 2,086,748 115,001,000 0.56%
49 P T TELEKOMUNIKASI INDONESIA 3,913,864 114,130,000 0.55%
50 FRESH DEL MONTE PRODUCE INC COM 1,879,109 113,933,000 0.55%
Page 1 of 33

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-17-002236, filed 2017.01.19).

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.