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Institutional Investment Manager
PICTET ASSET MANAGEMENT LTD
PICTET ASSET MANAGEMENT LTD (CIK: 0001291274), located at Moor House, Level 11, London, X0. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000950123-14-005836) filed in 2014.05.14
#
Name
Shares
Value ($)
%
Options
Notes
1001 LIBERTY PPTY TR 14,500 536 0.00%
1002 SEMPRA ENERGY INC COM STK 5,520 534 0.00%
1003 LOWES COS INC 10,800 528 0.00%
1004 SPECTRUM PHARMACEUTICALS INC 66,400 521 0.00%
1005 BEMIS CO INC COM 13,188 518 0.00%
1006 DirectTV Com 6,700 512 0.00%
1007 TETRA TECH INC 17,215 509 0.00%
1008 TENET HEALTHCARE CORP 11,837 507 0.00%
1009 BOSTON PROPERTIES INC 4,400 504 0.00%
1010 TITAN INTL INC ILL 26,434 502 0.00%
1011 iShares 16,900 499 0.00%
1012 ALLSTATE CORP 8,800 498 0.00%
1013 ATMOS ENERGY CORP COM 10,529 496 0.00%
1014 AUTONATION INC 9,300 495 0.00%
1015 WASTE MGMT INC 11,734 494 0.00%
1016 STATE STR CORP 7,100 494 0.00%
1017 MARATHON OIL CORP COM 13,900 494 0.00%
1018 CA INC 15,900 492 0.00%
1019 WILLIAMS CO INC COM 12,057 489 0.00%
1020 Philippine Long Dst Adrf 8,000 488 0.00%
1021 FRANKLIN RES INC 9,000 488 0.00%
1022 YOUKU TUDOU INC 17,200 482 0.00%
1023 CLEAN HARBORS INC 8,753 480 0.00%
1024 EXXON MOBIL CORP 4,900 479 0.00%
1025 TECO ENERGY INC 27,800 477 0.00%
1026 MATTEL INC 11,800 473 0.00%
1027 SELECT SECTOR SPDR TR SBI MATERIALS 10,000 473 0.00%
1028 HOST HOTELS & RESORTS INC 23,200 470 0.00%
1029 TRAVELERS COMPANIES INC 5,500 468 0.00%
1030 HARTFORD FINL SVCS GROUP INC 13,200 466 0.00%
1031 AQUA AMERICA INC UTIL 18,608 466 0.00%
1032 APPLIED MATLS INC 22,700 464 0.00%
1033 STARBUCKS CORP 6,300 462 0.00%
1034 JABIL INC 25,400 457 0.00%
1035 WAUSAU PAPER CORP 35,829 456 0.00%
1036 DR REDDYS LABS LTD ADR REPSTG 10,300 452 0.00%
1037 CHEVRON CORP NEW 3,800 452 0.00%
1038 CLOROX CO DEL 5,100 449 0.00%
1039 CEMEX S.A.B. DE CV 35,458 448 0.00%
1040 YUM BRANDS INC 5,900 445 0.00%
1041 ECOLAB INC 4,112 444 0.00%
1042 CLIFFS NAT RES INC 21,300 436 0.00%
1043 AFLAC INC 6,900 435 0.00%
1044 AMERICA MOVIL UTIL 21,775 433 0.00%
1045 Kraft Heinz Company 7,700 432 0.00%
1046 ANALOG DEVICES INC 7,900 420 0.00%
1047 NORDSTROM INC 6,700 418 0.00%
1048 PALL CORP 4,627 414 0.00%
1049 CONSOLIDATED EDISON INC 7,700 413 0.00%
1050 CME GROUP INC 5,500 407 0.00%
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