Dark
Light
System
Institutional Investment Manager
NOMURA ASSET MANAGEMENT CO LTD
NOMURA ASSET MANAGEMENT CO LTD (CIK: 0001055964), located at Toyosu Bayside Cross Tower, Tokyo. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001193805-15-000189) filed in 2015.02.13
#
Name
Shares
Value ($)
%
Options
Notes
951 WELLS FARGO CO NEW 152,924 8,383 0.15%
952 VANGUARD INTL EQUITY INDEX F 161,830 8,482 0.15%
953 MICROSOFT CORP 183,871 8,541 0.15%
954 EXXON MOBIL CORP 93,425 8,583 0.15%
955 MONDELEZ INTL INC 232,585 8,593 0.15%
956 JPMORGAN CHASE & CO 138,032 8,638 0.15%
957 TIME WARNER INC 101,724 8,738 0.15%
958 GENERAL GROWTH 306,500 8,741 0.15%
959 TE CONNECTIVITY LTD 139,968 8,853 0.15%
960 NUCOR CORP 182,673 9,042 0.16%
961 Rose Rock Midstream LP 200,000 9,090 0.16%
962 MEDTRONIC INC 126,128 9,210 0.16%
963 HOST HOTELS & RESORTS INC 382,688 9,229 0.16%
964 CATERPILLAR INC 100,340 9,282 0.16%
965 ISHARES TR 122,000 9,449 0.17%
966 AMERICAN WTR WKS CO INC NEW 175,747 9,471 0.17%
967 EATON CORP PLC 140,825 9,570 0.17%
968 DOMINION ENERGY INC 125,310 9,745 0.17%
969 AMERISOURCEBERGEN CORP 107,946 9,780 0.17%
970 HOME DEPOT INC 93,345 9,798 0.17%
971 KIMBERLY CLARK CORP 84,030 9,803 0.17%
972 EXELON CORP 266,173 9,870 0.17%
973 CONOCOPHILLIPS 143,953 9,941 0.17%
974 HOLLY ENERGY PARTNERS L P 332,653 9,950 0.17%
975 NIKE INC 103,340 10,010 0.17%
976 SOUTHERN CO 203,270 10,065 0.18%
977 YUM BRANDS INC 137,440 10,070 0.18%
978 BOSTON PROPERTIES 77,272 10,124 0.18%
979 XILINX INC 234,143 10,150 0.18%
980 LILLY ELI & CO 146,920 10,221 0.18%
981 HCP INC 232,842 10,404 0.18%
982 VORNADO REALTY 88,249 10,525 0.18%
983 Hewlett Packard Co 259,610 10,546 0.18%
984 STRYKER CORP 112,010 10,610 0.19%
985 GILEAD SCIENCES INC 114,574 10,800 0.19%
986 VENTAS INC 148,700 10,838 0.19%
987 MARSH & MCLENNAN COS INC 187,130 10,861 0.19%
988 PROLOGIS INC 251,890 10,992 0.19%
989 AVALONBAY COMM 66,404 11,033 0.19%
990 JOHNSON CTLS INTL PLC 229,520 11,108 0.19%
991 MOODYS CORP 115,790 11,115 0.19%
992 ABBVIE INC 171,082 11,196 0.20%
993 BIOGEN INC 32,811 11,227 0.20%
994 CORNING INC 488,750 11,246 0.20%
995 SPDR GOLD TR 99,850 11,341 0.20%
996 EMERSON ELEC CO 182,860 11,370 0.20%
997 BRISTOL MYERS SQUIBB CO 201,364 11,954 0.21%
998 UNION PAC CORP 99,620 11,972 0.21%
999 COLGATE PALMOLIVE CO 172,730 12,052 0.21%
1000 DUKE ENERGY CORP NEW 143,810 12,123 0.21%
Page 20 of 23