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Institutional Investment Manager
DEUTSCHE BANK AG\
DEUTSCHE BANK AG\ (CIK: 0000948046), located at Taunusanlage 12 D-60325, Frankfurt Am Main Ge, 2m. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 6,077 holdings with a total value of $147,197,640,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BCE INC 5,026,002 227,974,000 0.15%
152 EATON CORP PLC 2,946,584 227,412,000 0.15%
153 AMERICAN WTR WKS CO INC NEW 4,591,145 227,024,000 0.15%
154 EOG RES INC 1,933,595 225,955,000 0.15%
155 VENTAS INC 3,518,462 225,530,000 0.15%
156 ECOLAB INC 2,006,044 223,345,000 0.15%
157 TJX COS INC NEW 4,201,388 223,296,000 0.15%
158 EMERSON ELEC CO 3,332,434 221,133,000 0.15%
159 KKR & CO LP COMMON UNITS 9,048,811 220,154,000 0.15%
160 DANAHER CORP DEL 2,760,431 217,323,000 0.15%
161 MACYS INC 3,732,527 216,555,000 0.15%
162 ALLIANCE DATA SYSTEM 765,149 215,195,000 0.15%
163 SL GREEN REALTY CORP 1,958,414 214,265,000 0.15%
164 UNITEDHEALTH GROUP INC 2,606,353 213,063,000 0.14%
165 SEAGATE TECHNOLOGY PLC 3,730,093 211,939,000 0.14%
166 Targa Resources Partners LP 2,918,715 209,913,000 0.14%
167 CATERPILLAR INC 1,929,423 209,663,000 0.14%
168 REGENERON PHARMACEUTICALS 740,078 209,045,000 0.14%
169 ALLERGAN PLC 936,575 208,899,000 0.14%
170 AETNA INC NEW 2,572,630 208,583,000 0.14%
171 VERTEX PHARMACEUT 2,200,437 208,332,000 0.14%
172 PNC FINL SVCS GROUP INC 2,335,754 207,991,000 0.14%
173 MAGELLAN MIDSTREAM PRTNRS LP 2,473,863 207,902,000 0.14%
174 MCKESSON CORP 1,115,751 207,756,000 0.14%
175 KINDER MORGAN INC DEL 5,711,232 207,085,000 0.14%
176 MACERICH CO 3,084,473 205,886,000 0.14%
177 TRAVELERS COMPANIES INC 2,187,795 205,798,000 0.14%
178 ILLUMINA INC 1,147,451 204,863,000 0.14%
179 PRICELINE GRP INC 170,293 204,858,000 0.14%
180 MEAD JOHNSON NUTRITION CO 2,178,521 202,966,000 0.14%
181 EDISON INTL 3,469,973 201,634,000 0.14%
182 ESSEX PPTY TR INC 1,087,484 201,083,000 0.14%
183 PROLOGIS INC 4,880,422 200,531,000 0.14%
184 WESTERN DIGITAL CORP 2,162,229 199,566,000 0.14%
185 RYMAN HOSPITALITY PPTYS INC 4,132,324 198,969,000 0.14%
186 LAS VEGAS SANDS CORP 2,576,429 196,367,000 0.13%
187 PRAXAIR INC 1,474,068 195,810,000 0.13%
188 DCP MIDSTREAM LP 3,433,101 195,686,000 0.13%
189 NOBLE ENERGY INC 2,526,190 195,673,000 0.13%
190 DOW CHEM CO 3,789,906 195,022,000 0.13%
191 WHOLE FOODS 5,040,434 194,704,000 0.13%
192 Safeway Inc - Safeway PDC LLC CVR 5,658,808 194,321,000 0.13%
193 UNITED THERAPEUTICS 2,182,785 193,152,000 0.13%
194 EXELON CORP 5,286,738 192,856,000 0.13%
195 PIONEER NAT RES CO 837,681 192,501,000 0.13%
196 WESTERN GAS PARTNERS LP 2,506,135 191,668,000 0.13%
197 ISHARES TR 5,164,498 191,291,000 0.13%
198 BROADCOM CORP CL A 5,054,155 187,605,000 0.13%
199 DOUGLAS EMMETT INC COM 6,639,992 187,378,000 0.13%
200 WISDOMTREE TR 3,785,940 186,870,000 0.13%
Page 4 of 122

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000948046-14-000108, filed 2014.08.15).

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.