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Institutional Investment Manager
AVIVA PLC
AVIVA PLC (CIK: 0001140022), registered under Life Insurance, located at Eightyfen, London, X0. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Original 13F HR (0001140022-17-000009) filed in 2017.05.15
#
Name
Shares
Value ($)
%
Options
Notes
351 CONCHO RESOURCES 90,546 11,619 0.07%
352 CBS CORP NEW 166,628 11,556 0.07%
353 EVERSOURCE ENERGY 196,506 11,553 0.07%
354 COGNIZANT TECHNOLOGY SOLUTIO 193,855 11,542 0.07%
355 DTE ENERGY CO 111,383 11,373 0.07%
356 SKYWORKS SOLUTIONS INC 115,415 11,310 0.06%
357 CARNIVAL CORP 191,683 11,290 0.06%
358 HARTFORD FINL SVCS GROUP INC 234,538 11,272 0.06%
359 PRINCIPAL FIN GROUP 178,537 11,269 0.06%
360 DEVON ENERGY CORP NEW 269,888 11,265 0.06%
361 LAUDER ESTEE COS INC 132,617 11,245 0.06%
362 FREEPORT-MCMORAN INC 840,872 11,242 0.06%
363 V F CORP 204,014 11,215 0.06%
364 COMCAST CORP NEW 297,086 11,170 0.06%
365 WILLIS TOWERS WATSON PUB LTD 85,203 11,153 0.06%
366 DOLLAR GEN CORP NEW 159,933 11,152 0.06%
367 DR PEPPER SNAPPLE GROUP INC 113,877 11,151 0.06%
368 REGIONS FINANCIAL CORP NEW 766,291 11,142 0.06%
369 TYSON FOODS INC 180,326 11,130 0.06%
370 MYLAN N V 282,283 11,006 0.06%
371 FORTIVE CORP 182,195 10,968 0.06%
372 CITIZENS FINL GROUP INC 317,166 10,958 0.06%
373 CONAGRA BRANDS INC 271,422 10,952 0.06%
374 NEWMONT CORP 328,697 10,834 0.06%
375 DOLLAR TREE INC 137,793 10,811 0.06%
376 VERIZON COMMUNICATIONS INC 221,191 10,785 0.06%
377 LYONDELLBASELL INDUSTRIES N 118,142 10,772 0.06%
378 KELLOGG CO 147,480 10,710 0.06%
379 MICRON TECHNOLOGY INC 369,794 10,691 0.06%
380 GOLDMAN SACHS GROUP INC 46,537 10,687 0.06%
381 ULTA BEAUTY INC 37,335 10,651 0.06%
382 AGILENT TECHNOLOGIES INC 201,287 10,642 0.06%
383 CERNER CORP 179,930 10,591 0.06%
384 MEDTRONIC PLC 131,372 10,585 0.06%
385 ISHARES INC 463,750 10,578 0.06%
386 LEVEL 3 COMMUNICATIONS INC 184,638 10,565 0.06%
387 T MOBILE US INC 163,229 10,545 0.06%
388 VORNADO REALTY 105,038 10,537 0.06%
389 PIONEER NAT RES CO 56,449 10,512 0.06%
390 HERSHEY CO 94,474 10,318 0.06%
391 MEAD JOHNSON NUTRITION CO 115,719 10,307 0.06%
392 BROADCOM LTD 47,057 10,305 0.06%
393 AMGEN INC 62,066 10,184 0.06%
394 FIAT CHRYSLER AUTOMOBILES N V SHS 925,945 10,148 0.06%
395 EQUIFAX INC 74,008 10,121 0.06%
396 CONOCOPHILLIPS 201,360 10,042 0.06%
397 VIACOM INC NEW 215,097 10,030 0.06%
398 WELLS FARGO CO NEW 180,123 10,026 0.06%
399 MAGNA INTL INC 231,980 9,982 0.06%
400 TRANSDIGM GROUP INC 45,258 9,966 0.06%
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