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Institutional Investment Manager
MANUFACTURERS LIFE INSURANCE COMPANY, THE
MANUFACTURERS LIFE INSURANCE COMPANY, THE (CIK: 0000928047), located at 200 Bloor Street East, Canada, A6. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 4,447 holdings with a total value of $70,198,823,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 16,772,241 1,942,560,000 2.77%
2 VANGUARD BD INDEX FDS 14,376,236 1,161,456,000 1.65%
3 AMAZON COM INC 1,506,184 1,129,442,000 1.61%
4 JPMORGAN CHASE & CO 11,919,103 1,028,499,000 1.47%
5 BANK AMER CORP 44,868,198 991,588,000 1.41%
6 CITIGROUP INC 16,231,312 964,626,000 1.37%
7 MICROSOFT CORP 14,781,333 918,512,000 1.31%
8 FACEBOOK INC 7,801,237 897,532,000 1.28%
9 ALPHABET INC 936,017 741,746,000 1.06%
10 EXXON MOBIL CORP 7,966,176 719,028,000 1.02%
11 WELLS FARGO & CO NEW 12,731,987 701,660,000 1.00%
12 ROYAL BK CDA MONTREAL QUE 9,444,737 639,503,000 0.91%
13 JOHNSON & JOHNSON 5,516,721 635,582,000 0.91%
14 VANGUARD SCOTTSDALE FDS 7,218,243 618,604,000 0.88%
15 PROCTER AND GAMBLE CO 7,354,990 618,406,000 0.88%
16 GOLDMAN SACHS GROUP INC 2,525,739 604,787,000 0.86%
17 CVS HEALTH CORP 7,384,817 582,737,000 0.83%
18 GENERAL ELECTRIC CO 18,278,335 577,596,000 0.82%
19 AMGEN INC 3,812,062 557,363,000 0.79%
20 TEMPUR SEALY INTL INC COM 7,493,062 511,626,000 0.73%
21 TORONTO DOMINION BK ONT 9,752,157 481,172,000 0.69%
22 ALPHABET INC 610,848 471,465,000 0.67%
23 MERCK & CO INC 7,921,914 466,363,000 0.66%
24 SPDR S&P 500 ETF TR 2,061,579 460,825,000 0.66%
25 SPDR SERIES TRUST 12,623,863 460,139,000 0.66%
26 VERIZON COMMUNICATIONS INC 8,337,668 445,064,000 0.63%
27 PFIZER INC 13,452,076 436,923,000 0.62%
28 SCHLUMBERGER LTD 5,072,048 425,798,000 0.61%
29 UNITED TECHNOLOGIES CORP 3,883,795 425,741,000 0.61%
30 BANK N S HALIFAX 7,531,363 419,346,000 0.60%
31 CHEVRON CORP NEW 3,532,554 415,782,000 0.59%
32 UNITEDHEALTH GROUP INC 2,589,062 414,354,000 0.59%
33 MORGAN STANLEY 9,748,185 411,861,000 0.59%
34 BERKSHIRE HATHAWAY INC DEL 2,508,852 408,894,000 0.58%
35 MEDTRONIC PLC 5,699,952 406,009,000 0.58%
36 POLARIS INDS INC 4,742,654 390,747,000 0.56%
37 SUNCOR ENERGY INC NEW 11,757,912 384,366,000 0.55%
38 QUALCOMM INC 5,733,841 373,846,000 0.53%
39 VANGUARD SCOTTSDALE FDS 4,615,431 366,327,000 0.52%
40 MASTERCARD INCORPORATED 3,535,036 364,992,000 0.52%
41 CISCO SYS INC 11,983,984 362,156,000 0.52%
42 NOVARTIS A G 4,955,469 360,957,000 0.51%
43 VANGUARD BD INDEX FDS 4,541,699 360,838,000 0.51%
44 ORACLE CORP 9,342,054 359,202,000 0.51%
45 SPDR SERIES TRUST 11,191,919 341,689,000 0.49%
46 TELUS CORP 10,376,018 330,476,000 0.47%
47 VANGUARD BD INDEX FDS 3,932,116 326,641,000 0.47%
48 UNION PAC CORP 3,142,203 325,785,000 0.46%
49 ALLERGAN PLC 1,517,983 318,791,000 0.45%
50 NVR INC 189,921 316,978,000 0.45%
Page 1 of 89

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001145443-17-000177, filed 2017.02.14).

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.