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Institutional Investment Manager
Cullen Capital Management, LLC
Cullen Capital Management, LLC (CIK: 0001362535) incorporated in Delaware, located at 645 Fifth Ave, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0000950123-17-001829) filed in 2017.02.13
#
Name
Shares
Value ($)
%
Options
Notes
51 Xinhua Winshare Publishing 2,550,000 2,378 0.08%
52 GLAXOSMITHKLINE PLC 61,800 2,380 0.08%
53 PT Semen Indonesia Persero Tbk 3,550,700 2,407 0.08%
54 SINGAPORE TELECOMMUNICATIONS L 1,012,000 2,551 0.09%
55 Orkla-Borregaard AS 294,350 2,666 0.09%
56 ADIENT PLC 47,677 2,794 0.10%
57 Sanofi 35,140 2,846 0.10%
58 Royal Dutch Shell Class B 98,700 2,863 0.10%
59 Imperial Brands PLC 66,330 2,895 0.10%
60 Siemens AG 23,700 2,901 0.10%
61 Muenchener Ruechversicherungs 15,840 2,997 0.10%
62 Hyundai Motor Co. 25,305 3,061 0.11%
63 RHT Health Trust 4,924,100 3,112 0.11%
64 Honda Motor Co. Ltd. 112,000 3,276 0.11%
65 XTEP International Holdings 8,220,000 3,456 0.12%
66 Major Cineplex Group 4,166,000 3,809 0.13%
67 Allianz SE 23,285 3,851 0.13%
68 Japan Tobacco Inc. 120,640 3,972 0.14%
69 Ascendas India Trust 5,672,400 3,977 0.14%
70 Nippon Telegraph & Telephone C 96,730 4,069 0.14%
71 Prosieben Sat. 1 Media 105,600 4,072 0.14%
72 Asseco Poland SA 322,924 4,166 0.14%
73 CHINA MOBILE LIMITED 80,760 4,234 0.15%
74 China Everbright LTD 2,274,000 4,329 0.15%
75 Great Wall Motor Company Ltd. 4,794,000 4,476 0.15%
76 Zurich Insurance Group AG 16,690 4,597 0.16%
77 PT Telekomunikasi Indonesia Pe 15,772,200 4,638 0.16%
78 BRITISH AMERN TOB PLC 41,745 4,703 0.16%
79 Value Partners Group Ltd. 6,138,850 4,877 0.17%
80 MANULIFE FINL CORP 274,020 4,883 0.17%
81 CTCI Corp. 3,270,000 4,914 0.17%
82 OPAP SA 560,500 4,959 0.17%
83 VERMILION ENERGY INC 118,500 4,983 0.17%
84 Smiths Group PLC 289,000 5,042 0.17%
85 BANK RAKYAT INDONESIA SHS F 5,900,000 5,089 0.18%
86 TOTAL S A 102,900 5,245 0.18%
87 Magyar Telekom Telecommunicati 3,107,000 5,270 0.18%
88 BAE Systems plc 728,530 5,310 0.18%
89 Nestle SA Ord F 74,850 5,371 0.19%
90 BOC Hong Kong Holdings Ltd. 1,535,500 5,495 0.19%
91 United Overseas Bank Ltd. 395,640 5,575 0.19%
92 ROCHE HLDG AG ORDF 24,680 5,639 0.19%
93 Power Grid Corp Exp 10/23/2017 2,113,358 5,705 0.20%
94 GlaxoSmithKline PLC 306,100 5,891 0.20%
95 Sonic Healthcare Ltd. 383,470 5,918 0.20%
96 MOBILE TELESYSTEMS PJSC 655,250 5,969 0.21%
97 HSBC Holdings Ord Usd0.50 770,133 6,183 0.21%
98 TELEFONICA BRASIL SA 469,750 6,285 0.22%
99 ABB LTD 318,300 6,707 0.23%
100 ICICI BANK LIMITED 915,200 6,855 0.24%
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