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Institutional Investment Manager
BlackRock Group LTD
BlackRock Group LTD (CIK: 0001003283), located at Drapers Gardens, London. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 2,974 holdings with a total value of $210,087,059,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 ZIMMER BIOMET HLDGS INC 2,445,234 252,347,000 0.12%
202 NXP SEMICONDUCTORS N V 2,570,970 251,980,000 0.12%
203 SYSCO CORP 4,541,759 251,478,000 0.12%
204 SEMPRA ENERGY 2,496,181 251,217,000 0.12%
205 HCA HOLDINGS INC 3,384,049 250,488,000 0.12%
206 INTUITIVE SURGICAL INC 394,908 250,440,000 0.12%
207 S&P GLOBAL INC 2,327,965 250,349,000 0.12%
208 M & T BK CORP 1,599,816 250,260,000 0.12%
209 BARD C R INC 1,107,937 248,910,000 0.12%
210 ECOLAB INC 2,122,631 248,816,000 0.12%
211 CBS CORP NEW 3,888,967 247,417,000 0.12%
212 ZOETIS INC 4,617,475 247,173,000 0.12%
213 VORNADO RLTY TR 2,354,523 245,742,000 0.12%
214 PAYCHEX INC 4,019,687 244,719,000 0.12%
215 JD COM INC ADR 9,563,191 243,287,000 0.12%
216 ALEXION PHARMACEUTIC 1,987,406 243,159,000 0.12%
217 SYNCHRONY FINL 6,651,076 241,234,000 0.11%
218 CORNING INC 9,831,244 238,604,000 0.11%
219 ANGLOGOLD ASHANTI LIMITED 22,626,599 237,805,000 0.11%
220 HESS CORP 3,815,425 237,664,000 0.11%
221 TWENTY FIRST CENTY FOX INC 8,461,167 237,250,000 0.11%
222 REGENERON PHARMACEUTICALS 634,545 232,936,000 0.11%
223 AUTOZONE INC 289,250 228,448,000 0.11%
224 MARRIOTT INTL 2,735,533 226,175,000 0.11%
225 EDISON INTL 3,121,260 224,700,000 0.11%
226 HCP INC 7,444,582 221,253,000 0.11%
227 DIGITAL RLTY TR INC 2,245,493 220,643,000 0.11%
228 HOST HOTELS & RESORTS INC COM 11,703,308 220,490,000 0.10%
229 CUMMINS INC 1,613,095 220,463,000 0.10%
230 REALTY INCOME CORP 3,807,477 218,855,000 0.10%
231 VERTEX PHARMACEUT 2,967,665 218,627,000 0.10%
232 O REILLY AUTOMOTIVE INC NEW 778,071 216,621,000 0.10%
233 WILLIAMS COS INC DEL 6,915,206 215,339,000 0.10%
234 PPL CORP 6,320,788 215,224,000 0.10%
235 GENUINE PARTS CO 2,243,994 214,392,000 0.10%
236 TE CONNECTIVITY LTD 3,089,922 214,069,000 0.10%
237 MICRON TECHNOLOGY INC 9,747,653 213,670,000 0.10%
238 ESSEX PPTY TR INC 918,467 213,544,000 0.10%
239 ROPER TECHNOLOGIES INC 1,165,876 213,448,000 0.10%
240 XCEL ENERGY INC 5,235,550 213,086,000 0.10%
241 DR PEPPER SNAPPLE GROUP INC 2,342,882 212,430,000 0.10%
242 CONSTELLATION BRANDS INC 1,383,652 212,127,000 0.10%
243 MYLAN N V 5,533,346 211,096,000 0.10%
244 PACCAR INC 3,280,487 209,624,000 0.10%
245 HARTFORD FINL SVCS GROUP INC 4,377,367 208,582,000 0.10%
246 YUM BRANDS INC 3,285,720 208,085,000 0.10%
247 CARNIVAL CORP 3,960,177 206,166,000 0.10%
248 ITAU UNIBANCO HLDG SA 19,944,885 205,035,000 0.10%
249 MATTEL INC 7,429,570 204,685,000 0.10%
250 FIDELITY NATL INFORMATION SV 2,677,487 202,525,000 0.10%
Page 5 of 60

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001086364-17-000007, filed 2017.02.10).

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.