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
801 FIRST FOUNDATION INC 16,100 346 0.01%
802 VENTAS INC 4,749 346 0.01%
803 NRG ENERGY INC 23,703 348 0.01%
804 ULTA BEAUTY INC 1,430 348 0.01%
805 ANTERO RES CORP 13,163 348 0.01%
806 EQUITY RESIDENTIAL 5,080 350 0.01%
807 FIFTH THIRD BANCORP 19,900 350 0.01%
808 VERTEX PHARMACEUTICALS INC 4,081 351 0.01%
809 PFIZER INC 10,000 352 0.01%
810 CARPENTER TECHNOLOGY CORP 10,700 352 0.01%
811 NAVISTAR INTL CORP NEW 30,347 353 0.01%
812 FORTINET INC 11,399 354 0.01%
813 KORN FERRY COM NEW 17,100 354 0.01%
814 OLYMPIC STEEL INC COM 12,944 354 0.01%
815 TOLL BROTHERS INC 13,356 355 0.01%
816 COVANTA HLDG CORP 21,600 355 0.01%
817 APPLIED MICRO CIRCUITS ORD 55,400 356 0.01%
818 HEWLETT PACKARD ENTERPRISE C 19,520 357 0.01%
819 WEYERHAEUSER CO 12,026 358 0.01%
820 QAD Inc 18,600 358 0.01%
821 BROWN FORMAN CORP 3,590 358 0.01%
822 PRICE T ROWE GROUP INC 4,920 359 0.01%
823 FISERV INC 3,304 359 0.01%
824 DEERE & CO 4,447 360 0.01%
825 AVALONBAY COMM 2,003 361 0.01%
826 MARATHON PETE CORP 9,520 361 0.01%
827 ONE GAS INC COM 5,436 362 0.01%
828 EXTERRAN CORP 28,149 362 0.01%
829 BRIGGS & STRATTON CORP COM 17,089 362 0.01%
830 CMS ENERGY CORP 7,893 362 0.01%
831 DIAMONDBACK ENERGY INC 3,979 363 0.01%
832 Old PSG Wind-down Ltd. 120,900 363 0.01%
833 SANDERSON FARMS INC 4,197 364 0.01%
834 PPL CORP 9,677 365 0.01%
835 MEDIVATION INC 6,074 366 0.01%
836 BOSTON PROPERTIES 2,780 367 0.01%
837 DUN & BRADSTREET CORP DEL NE 3,090 369 0.01%
838 SOUTHWESTERN ENERGY CO 28,328 369 0.01%
839 KEARNY FINL CORP MD COM 29,300 369 0.01%
840 VIPSHOP HLDGS LTD 34,300 370 0.01%
841 AERCAP HOLDINGS NV 11,152 370 0.01%
842 HOLLYFRONTIER CORP 15,443 370 0.01%
843 LUMEN TECHNOLOGIES INC 12,795 371 0.01%
844 EBAY INC 15,851 371 0.01%
845 INGREDION INC 2,887 374 0.01%
846 BIOSPECIFICS TECHNOLOGIES CO 9,373 374 0.01%
847 REALOGY HLDGS CORP 12,857 374 0.01%
848 AVERY DENNISON CORP 5,020 375 0.01%
849 OMNICOM GROUP INC 4,605 375 0.01%
850 MCDONALDS CORP 3,130 377 0.01%
Page 17 of 47