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Institutional Investment Manager
AMUNDI ASSET MANAGEMENT US, INC.
AMUNDI ASSET MANAGEMENT US, INC. (CIK: 0001102598), located at 60 State Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0000950123-16-019174) filed in 2016.08.10
#
Name
Shares
Value ($)
%
Options
Notes
1 MICROSOFT CORP 16,173,877 827,617 3.00%
2 APPLE INC 8,268,380 790,457 2.86%
3 HOME DEPOT INC 5,054,855 645,454 2.34%
4 ALPHABET INC 777,898 538,383 1.95%
5 PFIZER INC 14,789,971 520,755 1.89%
6 CVS HEALTH CORP 5,264,559 504,029 1.83%
7 CHEVRON CORP NEW 4,185,774 438,795 1.59%
8 HERSHEY CO 3,602,794 408,881 1.48%
9 MEDTRONIC PLC 4,571,326 396,654 1.44%
10 CELGENE CORP 3,896,496 384,311 1.39%
11 JOHNSON & JOHNSON 3,066,597 371,978 1.35%
12 DISNEY WALT CO 3,752,320 367,052 1.33%
13 ALPHABET INC 518,610 364,858 1.32%
14 THERMO FISHER SCIENTIFIC INC 2,359,439 348,631 1.26%
15 INTERCONTINENTAL EXCHANGE IN 1,346,870 344,745 1.25%
16 RAYTHEON CO 2,500,468 339,939 1.23%
17 AMERICAN ELEC P 4,817,847 337,683 1.22%
18 REYNOLDS AMERICAN INC 5,898,554 318,109 1.15%
19 MASTERCARD INCORPORATED 3,390,503 298,568 1.08%
20 TIME WARNER INC 3,977,495 292,505 1.06%
21 UNITED PARCEL SERVICE INC 2,624,129 282,671 1.02%
22 ECOLAB INC 2,285,295 271,036 0.98%
23 AT&T INC 6,227,832 269,105 0.98%
24 GENERAL ELECTRIC CO 8,501,275 267,620 0.97%
25 GILEAD SCIENCES INC 3,176,852 265,013 0.96%
26 AMAZON COM INC 361,903 258,985 0.94%
27 JPMORGAN CHASE & CO 3,988,672 247,856 0.90%
28 STARBUCKS CORP 4,262,406 243,469 0.88%
29 SCHLUMBERGER LTD 2,988,841 236,358 0.86%
30 ANALOG DEVICES INC 4,085,517 231,404 0.84%
31 PEPSICO INC 2,128,365 225,479 0.82%
32 ILLINOIS TOOL WKS INC 2,107,079 219,473 0.80%
33 KIMBERLY CLARK CORP 1,588,744 218,421 0.79%
34 COGNIZANT TECHNOLOGY SOLUTIO 3,735,237 213,805 0.77%
35 HARTFORD FINL SVCS GROUP INC 4,811,322 213,526 0.77%
36 VERIZON COMMUNICATIONS INC 3,756,688 209,773 0.76%
37 PNC FINL SVCS GROUP INC 2,409,070 196,074 0.71%
38 WELLS FARGO & CO NEW 4,096,806 193,902 0.70%
39 O REILLY AUTOMOTIVE INC NEW 694,508 188,281 0.68%
40 ROSS STORES INC 3,309,645 187,624 0.68%
41 ALLERGAN PLC 805,709 186,191 0.67%
42 US BANCORP DEL 4,455,625 179,695 0.65%
43 VISA INC 2,414,411 179,077 0.65%
44 COCA COLA CO 3,925,946 177,963 0.64%
45 EMC 6,407,585 174,094 0.63%
46 3M CO 992,849 173,868 0.63%
47 CISCO SYS INC 5,861,697 168,172 0.61%
48 COTERRA ENERGY INC 6,238,556 160,580 0.58%
49 EDWARDS LIFESCIENCES CORP 1,561,656 155,744 0.56%
50 DOLLAR GEN CORP NEW 1,647,415 154,857 0.56%
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