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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
851 PROLOGIS INC 7,683 377 0.01%
852 GENERAC HLDGS INC 10,800 378 0.01%
853 BERKLEY W R CORP 6,604 380 0.01%
854 MEDNAX INC 5,240 380 0.01%
855 SPECTRA ENERGY CORP 10,399 381 0.01%
856 TEGNA INC 16,963 381 0.01%
857 EDISON INTL 4,919 382 0.01%
858 GAP 18,295 384 0.01%
859 PARSLEY ENERGY CLA A 14,184 384 0.01%
860 PNM RES INC 10,900 386 0.01%
861 SEMPRA ENERGY 3,395 387 0.01%
862 AXALTA COATING SYS LTD 14,710 387 0.01%
863 LIBERTY GLOBAL PLC 13,520 387 0.01%
864 RSP PERMIAN INC COM 11,081 387 0.01%
865 ALBEMARLE CORP 4,890 388 0.01%
866 EQUINIX INC 1,004 389 0.01%
867 HARMONY GOLD MINING CO LTD 107,860 389 0.01%
868 OCCIDENTAL PETE CORP DEL 5,160 390 0.01%
869 VARIAN MED SYS INC 4,740 390 0.01%
870 APPLIED MATLS INC 16,293 391 0.01%
871 WABCO HLDGS INC 4,379 392 0.01%
872 Vocera Communications Inc 30,500 392 0.01%
873 ALLSTATE CORP 5,606 392 0.01%
874 FACEBOOK INC 3,440 393 0.01%
875 Saul Centers Inc 14,750 393 0.01%
876 LANDEC CORP 36,500 393 0.01%
877 LEUCADIA NATL CORP 23,605 393 0.01%
878 PETROLEO BRASILEIRO SA PETRO 54,932 393 0.01%
879 FIFTH THIRD BANCORP 22,405 394 0.01%
880 NAVIENT CORPORATION 33,694 394 0.01%
881 VMWARE INC 6,987 396 0.01%
882 T MOBILE US INC 9,160 396 0.01%
883 DOLLAR GEN CORP NEW 4,223 397 0.01%
884 CONTINENTAL RESOURE 8,680 397 0.01%
885 HARMAN INTL INDS INC COM 5,679 397 0.01%
886 MURPHY OIL CORP 12,443 398 0.01%
887 KELLOGG CO 4,877 398 0.01%
888 DIGITAL REALTY TRUST INC 15,000 400 0.01%
889 CENTRAL GARDEN & PET CO 18,422 400 0.01%
890 CONSTELLATION BRANDS INC 2,431 402 0.01%
891 Sunstone Hotel 6.95. Prp/Cl 3/ 15,000 402 0.01%
892 SCRIPPS NETWORKS INTERACT IN 6,460 402 0.01%
893 PPG INDS INC 3,866 403 0.01%
894 PETROLEO BRASILEIRO SA PETRO 69,409 403 0.01%
895 COCA COLA FEMSA S A B DE C V 4,862 403 0.01%
896 NEWS CORP CL A 36,054 404 0.01%
897 ORION GROUP HLDGS INC COM 76,500 406 0.01%
898 CALPINE CORP 27,876 406 0.01%
899 AVNET INC 10,288 408 0.01%
900 MOBILE TELESYSTEMS PJSC 47,625 408 0.01%
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