Dark
Light
System
Institutional Investment Manager
Asset Management One Co., Ltd.
Asset Management One Co., Ltd. (CIK: 0001068855), located at Tekko Building, Tokyo, M0. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001086521-16-000043) filed in 2016.08.03
#
Name
Shares
Value ($)
%
Options
Notes
601 MURPHY OIL CORP 70,183 2,228 0.03%
602 TREX CO INC COM 51,692 2,221 0.03%
603 CENTENE CORP DEL 31,039 2,215 0.03%
604 DOLLAR GEN CORP NEW 23,585 2,212 0.03%
605 CARDINAL HEALTH INC 28,557 2,207 0.03%
606 ALERE INC 53,188 2,204 0.03%
607 PS Business PKS Inc 86,124 2,204 0.03%
608 SYSCO CORP 43,896 2,204 0.03%
609 UNITED CONTL HLDGS INC 54,239 2,200 0.03%
610 VERISIGN 25,420 2,198 0.03%
611 VORNADO REALTY TRUST PFD SER L 5.4 QTRLY CALLABLE 85,026 2,191 0.03%
612 CLEAN HARBORS INC 42,815 2,190 0.03%
613 MYLAN N V 50,473 2,181 0.03%
614 POLARIS INDS INC 26,800 2,168 0.03%
615 ACI WORLDWIDE INC 113,664 2,164 0.03%
616 VistaPrint NV 23,682 2,154 0.03%
617 EXXON MOBIL CORP 22,910 2,148 0.03%
618 DISH NETWORK A 41,005 2,129 0.03%
619 CONSTELLATION BRANDS INC 13,362 2,129 0.03%
620 EXPRESS SCRIPTS HLDG CO 28,019 2,124 0.03%
621 Public Storage Dep 77,500 2,124 0.03%
622 Digital Realty Trust 73,640 2,109 0.03%
623 MICROSOFT CORP 41,190 2,108 0.03%
624 COOPER COS INC 12,395 2,105 0.03%
625 BB&T CORP 60,610 2,101 0.03%
626 LOWES COS INC 26,438 2,093 0.03%
627 CSX CORP 80,814 2,075 0.03%
628 ENVESTNET INC 62,612 2,073 0.03%
629 OSI SYSTEMS INC COM 37,156 2,073 0.03%
630 DOVER CORP 30,360 2,063 0.03%
631 HEALTHEQUITY INC 68,819 2,063 0.03%
632 MANHATTAN ASSOCS INC 32,148 2,062 0.03%
633 VIACOM INC NEW 51,073 2,061 0.03%
634 AUTONATION INC 43,853 2,060 0.03%
635 ULTIMATE SOFTWARE GROUP INC COM 9,958 2,059 0.03%
636 ROLLINS INC 71,634 2,030 0.03%
637 FIDELITY NATL INFORMATION SV 28,007 2,029 0.03%
638 EATON CORP PLC 33,806 2,019 0.03%
639 ALLETE INC COM NEW 32,008 2,018 0.03%
640 KIMBERLY CLARK CORP 14,656 2,015 0.03%
641 SYKES ENTERPRISES INC 69,489 2,012 0.03%
642 WELLTOWER INC 26,395 2,011 0.03%
643 MERIT MED SYS INC COM 103,186 2,010 0.03%
644 SUNTRUST BKS INC 49,987 2,001 0.03%
645 ALLEGHANY CORP 3,712 1,990 0.03%
646 GENERAL MLS INC 27,841 1,986 0.03%
647 WEBMD HEALTH CORPORATION 33,964 1,979 0.03%
648 DISCOVER FINL SVCS 37,648 1,976 0.03%
649 NORFOLK SOUTHERN CORP 23,582 1,974 0.03%
650 EDISON INTL 25,876 1,969 0.03%
Page 13 of 47