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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 (2015Q1)
Portfolio Summary: 870 holdings with a total value of $24,056,379,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 ULTRAGENYX PHARMACEUTICAL INC COM 42,300 2,387,000 0.01%
152 ASSURANT INC 39,362 2,419,000 0.01%
153 ACHILLION PHARMACEUTICALS IN 277,000 2,424,000 0.01%
154 CAMDEN PROPERTY TRUS 32,400 2,433,000 0.01%
155 ALNYLAM PHARMACEUTICALS INC 23,961 2,441,000 0.01%
156 GAMESTOP CORP NEW 63,344 2,441,000 0.01%
157 AUTONATION INC 39,725 2,445,000 0.01%
158 ONCOMED PHARMACEUTICALS INC COM 102,700 2,463,000 0.01%
159 RACKSPACE HOSTING INC 45,700 2,463,000 0.01%
160 JOY GLOBAL INCORPORATED 58,110 2,478,000 0.01%
161 URBAN OUTFITTERS INC 62,646 2,508,000 0.01%
162 REGENCY CTRS CORP 41,200 2,587,000 0.01%
163 VanEck Vectors Vietnam ETF 143,800 2,593,000 0.01%
164 LULULEMON ATHLETICA INC 40,800 2,597,000 0.01%
165 ALBEMARLE CORP 43,700 2,609,000 0.01%
166 REALOGY HLDGS CORP 55,100 2,612,000 0.01%
167 DUN & BRADSTREET CORP DEL NE 20,537 2,622,000 0.01%
168 MEMORIAL RESOURCE DEV CORP 132,187 2,669,000 0.01%
169 SEI INVESTMENTS CO 59,000 2,694,000 0.01%
170 PEOPLES UNITED FINANCIAL INC 179,076 2,706,000 0.01%
171 DISCOVERY COMMUNICATNS NEW 83,651 2,707,000 0.01%
172 HOLLYFRONTIER CORP 70,700 2,742,000 0.01%
173 ICICI BANK LIMITED 251,459 2,749,000 0.01%
174 MANPOWERGROUP INC 32,400 2,765,000 0.01%
175 IDACORP INC 46,400 2,799,000 0.01%
176 VMWARE INC 32,000 2,819,000 0.01%
177 SYNOPSYS INC 60,300 2,827,000 0.01%
178 IRONWOOD PHARMACEUTICALS INC 207,000 2,828,000 0.01%
179 HOLOGIC INC 85,310 2,878,000 0.01%
180 DEPOMED INC 125,542 2,920,000 0.01%
181 KERYX BIOPHARMACEUTICALS INCORPORATED 274,900 2,930,000 0.01%
182 WHITING PETE CORP NEW 79,200 3,003,000 0.01%
183 HUNT J B TRANS SVCS INC 34,500 3,008,000 0.01%
184 JACOBS ENGR GROUP INC 70,333 3,015,000 0.01%
185 PETROLEO BRASILEIRO SA PETROBR SPONSORED ADR 348,964 3,029,000 0.01%
186 FIRST REP BK SAN FRANCISCO C 52,652 3,069,000 0.01%
187 AMERICA MOVIL SAB DE CV 147,921 3,090,000 0.01%
188 LEGG MASON INC 59,295 3,122,000 0.01%
189 Liberty Media Corp 82,600 3,135,000 0.01%
190 T MOBILE US INC 92,900 3,162,000 0.01%
191 AMERICAN RLTY CAP PPTYS INC 352,035 3,179,000 0.01%
192 MGM RESORTS INTERNATIONAL 150,650 3,186,000 0.01%
193 CIT GROUP INC 71,000 3,197,000 0.01%
194 TOWERS WATSON & CO 25,400 3,223,000 0.01%
195 UDR INC 98,600 3,231,000 0.01%
196 BEMIS INC 72,000 3,241,000 0.01%
197 Ashland Inc New 25,701 3,248,000 0.01%
198 ACORDA THERAPEUTICS INC 108,300 3,257,000 0.01%
199 NASDAQ OMX GROUP 66,995 3,258,000 0.01%
200 EPAM SYS INC 51,022 3,301,000 0.01%
Page 4 of 18

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-005604, filed 2015.05.13).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.