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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)
Original 13F HR (0001086364-17-000007) filed in 2017.02.10
#
Name
Shares
Value ($)
%
Options
Notes
101 CHEVRON CORP COM 3,115,494 366,694 0.17%
102 HOME DEPOT INC COM 2,705,146 362,706 0.17%
103 ALTRIA GROUP INC COM 5,362,305 362,599 0.17%
104 COMCAST CORP NEW CL A 5,215,785 360,150 0.17%
105 UNITEDHEALTH GROUP INC 2,233,525 357,453 0.17%
106 ALPHABET INC CLASS A 437,751 346,896 0.17%
107 INTERNATIONAL BUSINESS MACHSCOM 2,074,927 344,417 0.16%
108 MICROSOFT CORP COM 5,465,591 339,632 0.16%
109 PROCTER & GAMBLE CO 4,025,774 338,487 0.16%
110 VALE S A ADR REPSTG PFD 49,050,000 337,955 0.16%
111 VERIZON COMMUNICATIONS INC COM 6,312,282 336,950 0.16%
112 ALPHABET INC CLASS C 434,042 335,002 0.16%
113 VISA, INC 4,236,050 330,497 0.16%
114 ALIBABA GROUP HLDG LTD 3,724,738 327,069 0.16%
115 MCDONALDS CORP COM 2,684,157 326,716 0.16%
116 WAL MART STORES INC COM 4,712,245 325,710 0.16%
117 AMGEN INC 2,132,965 311,861 0.15%
118 ISHARES GOLD TRUST 28,128,516 311,664 0.15%
119 MASTERCARD INCORPORATED CL A 2,985,837 308,288 0.15%
120 SCHLUMBERGER LTD COM 3,647,899 306,241 0.15%
121 ORACLE CORP COM 7,937,906 305,212 0.15%
122 PFIZER INC 9,393,466 305,100 0.15%
123 QUALCOMM INC COM 4,664,717 304,140 0.14%
124 3M CO COM 1,692,512 302,232 0.14%
125 QUALCOMM INC COM 4,604,514 300,214 0.14%
126 JOHNSON & JOHNSON COM 2,596,701 299,166 0.14%
127 BERKSHIRE HATHAWAY INC DEL CL B NEW 1,809,456 294,905 0.14%
128 GILEAD SCIENCES INC COM 4,085,146 292,537 0.14%
129 CITIGROUP INC 4,772,913 283,654 0.14%
130 JP MORGAN CHASE & CO COM 3,273,841 282,500 0.13%
131 GOLDMAN SACHS GROUP INC COM 1,169,842 280,119 0.13%
132 CVS HEALTH CORP COM 3,524,035 278,082 0.13%
133 BRISTOL MYERS SQUIBB CO 4,717,989 275,719 0.13%
134 INTEL CORP COM 7,505,117 272,211 0.13%
135 MCDONALDS CORP COM 2,221,628 270,417 0.13%
136 APPLE INC COM 2,333,869 270,309 0.13%
137 ACCENTURE PLC IRELAND SHS CLASS A 2,286,772 267,850 0.13%
138 MEDTRONIC PLC USD 3,747,843 266,959 0.13%
139 BANK OF AMERICA CORPORATION COM 12,053,982 266,393 0.13%
140 ABBVIE INC COM 4,235,392 265,220 0.13%
141 MASTERCARD INCORPORATED CL A 2,549,617 263,248 0.13%
142 BOEING CO COM 1,686,580 262,567 0.12%
143 3M CO COM 1,464,596 261,533 0.12%
144 ORACLE CORP COM 6,800,057 261,462 0.12%
145 HOME DEPOT INC COM 1,948,748 261,288 0.12%
146 COMCAST CORP NEW CL A 3,783,739 261,267 0.12%
147 STARBUCKS CORP COM 4,612,735 256,099 0.12%
148 COCA COLA CO COM 6,169,266 255,778 0.12%
149 UNITEDHEALTH GROUP INC 1,592,983 254,941 0.12%
150 WALGREENS BOOTS ALLIANCE INCCOM 3,077,749 254,715 0.12%
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