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Institutional Investment Manager
ABERDEEN ASSET MANAGEMENT PLC/UK
ABERDEEN ASSET MANAGEMENT PLC/UK (CIK: 0001080434), located at 10 Queens Terrace, Aberdeen, X0. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Original 13F HR (0001085146-16-002874) filed in 2016.02.09
#
Name
Shares
Value ($)
%
Options
Notes
301 NEXTERA ENERGY INC 160,625 16,980 0.06%
302 DOW CHEM CO 340,000 16,973 0.06%
303 EBAY INC 613,758 16,927 0.06%
304 ANSYS 180,268 16,779 0.06%
305 PRAXAIR INC 151,607 16,716 0.06%
306 ALTRIA GROUP INC 271,709 16,683 0.06%
307 CME GROUP INC 180,400 16,680 0.06%
308 ICICI BANK LIMITED 1,852,670 16,656 0.06%
309 JOHNSON & JOHNSON 164,600 16,383 0.06%
310 BANCO SANTANDER CHILE NEW 830,272 16,365 0.06%
311 VORNADO REALTY 162,767 16,311 0.06%
312 AETNA INC NEW 157,293 16,258 0.06%
313 CHECK POINT SOFTWARE TECH LT 197,700 16,219 0.06%
314 NVIDIA CORPORATION 569,594 16,176 0.06%
315 CISCO SYS INC 556,200 16,135 0.05%
316 GOODYEAR TIRE & RUBR CO 492,850 16,052 0.05%
317 REYNOLDS AMERICAN INC 328,317 16,048 0.05%
318 AMGEN INC 105,058 16,001 0.05%
319 PVH CORPORATION 165,300 15,857 0.05%
320 UNITEDHEALTH GROUP INC 139,269 15,850 0.05%
321 AMERICAN EXPRESS CO 217,275 15,752 0.05%
322 ELECTRONIC ARTS INC 210,388 15,682 0.05%
323 ACE LTD 136,016 15,657 0.05%
324 VALE S A 3,283,105 15,529 0.05%
325 BOSTON SCIENTIFIC CORP 936,973 15,385 0.05%
326 MOLSON COORS BREWING CO 172,945 15,231 0.05%
327 SCHLUMBERGER LTD 194,500 15,222 0.05%
328 MULTI COLOR CORP COM 200,296 15,110 0.05%
329 DOW CHEM CO 301,586 15,055 0.05%
330 CORNING INC 850,472 14,968 0.05%
331 TARGET CORP 193,359 14,910 0.05%
332 PERRIGO CO PLC 100,662 14,866 0.05%
333 FOMENTO ECONOMICO MEXICANO S 147,935 14,845 0.05%
334 ITAU UNIBANCO HLDG SA 2,149,360 14,831 0.05%
335 COSTCO WHSL CORP NEW 93,730 14,823 0.05%
336 TAIWAN SEMICONDUCTOR MFG LTD 658,100 14,814 0.05%
337 KOREA FD 464,246 14,786 0.05%
338 JOHNSON & JOHNSON 148,300 14,760 0.05%
339 POOL CORPORATION 183,400 14,635 0.05%
340 BRISTOL MYERS SQUIBB CO 230,905 14,589 0.05%
341 CIGNA CORPORATION 112,531 14,572 0.05%
342 PARKER HANNIFIN CORP 144,395 14,551 0.05%
343 MCDONALDS CORP 130,452 14,463 0.05%
344 GLOBUS MED INC 675,375 14,453 0.05%
345 APACHE CORP 313,379 14,406 0.05%
346 TEXAS INSTRS INC 247,962 14,404 0.05%
347 VALE S A 3,761,175 14,368 0.05%
348 MEDTRONIC PLC 195,840 14,310 0.05%
349 BANCO BRADESCO S A 2,595,304 14,300 0.05%
350 ALLIANCE DATA SYSTEMS CORP 48,513 14,287 0.05%
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