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Institutional Investment Manager
Boston Partners
Boston Partners (CIK: 0001386060) incorporated in Delaware, located at One Beacon Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 703 holdings with a total value of $69,610,200,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 JPMORGAN CHASE & CO 25,610,189 1,735,346,000 2.49%
2 CAPITAL ONE FINL CORP 16,346,438 1,437,996,000 2.07%
3 WELLS FARGO & CO NEW 23,198,488 1,304,683,000 1.87%
4 CITIGROUP INC 21,168,662 1,169,357,000 1.68%
5 BERKSHIRE HATHAWAY INC DEL 8,548,283 1,163,507,000 1.67%
6 PFIZER INC 31,554,283 1,058,015,000 1.52%
7 JOHNSON & JOHNSON 10,690,324 1,041,879,000 1.50%
8 OCCIDENTAL PETE CORP DEL 11,746,281 913,508,000 1.31%
9 CISCO SYS INC 32,945,405 904,681,000 1.30%
10 MICROSOFT CORP 20,135,703 888,992,000 1.28%
11 APPLE INC 7,046,198 883,769,000 1.27%
12 MERCK & CO INC 14,911,506 848,911,000 1.22%
13 CVS HEALTH CORP 8,074,225 846,825,000 1.22%
14 MEDTRONIC PLC 11,379,958 843,254,000 1.21%
15 PHILLIPS 66 9,805,788 789,955,000 1.13%
16 ACTIVISION BLIZZARD INC 32,284,636 781,612,000 1.12%
17 EXPRESS SCRIPTS HLDG CO 8,380,787 745,387,000 1.07%
18 LEAR 6,335,243 711,195,000 1.02%
19 LIBERTY GLOBAL PLC 13,938,162 705,690,000 1.01%
20 ALLSTATE CORP 10,706,837 694,553,000 1.00%
21 BB&T CORP 17,147,332 691,209,000 0.99%
22 ORACLE CORP 17,139,074 690,705,000 0.99%
23 FIFTH THIRD BANCORP 32,973,580 686,510,000 0.99%
24 DISCOVER FINANCIAL 11,517,952 663,664,000 0.95%
25 AMERICAN INTL GROUP INC 10,647,106 658,204,000 0.95%
26 UNITED TECHNOLOGIES CORP 5,805,273 643,979,000 0.93%
27 WESTERN DIGITAL CORP 8,072,981 633,084,000 0.91%
28 EMC 23,981,296 632,866,000 0.91%
29 TYSON FOODS INC 14,023,481 597,821,000 0.86%
30 RAYTHEON CO 5,870,625 561,701,000 0.81%
31 MACYS INC 8,294,899 559,657,000 0.80%
32 GILEAD SCIENCES INC 4,748,165 555,914,000 0.80%
33 AON PLC 5,534,738 551,703,000 0.79%
34 ACE LTD 5,399,241 548,994,000 0.79%
35 ENERGEN CORP COM 7,789,335 532,011,000 0.76%
36 LOCKHEED MARTIN CORP 2,799,543 520,435,000 0.75%
37 TEVA PHARMACEUTICAL INDS LTD 8,755,438 517,447,000 0.74%
38 BROCADE COMMUNICATIONS SYS I 42,827,797 508,795,000 0.73%
39 DELTA AIRLINES INC DEL 11,954,349 491,085,000 0.71%
40 Hewlett Packard Co 16,188,788 485,826,000 0.70%
41 TE CONNECTIVITY LTD 7,482,063 481,097,000 0.69%
42 AES CORP COM 35,121,723 465,714,000 0.67%
43 CROWN HLDGS INC 8,726,318 461,710,000 0.66%
44 GRAPHIC PACKAGING HLDG CO 32,503,854 452,778,000 0.65%
45 EOG RES INC 5,051,056 442,220,000 0.64%
46 COMCAST CORP NEW 7,352,043 442,152,000 0.64%
47 ZIMMER BIOMET HLDGS INC 3,932,090 429,502,000 0.62%
48 ANTHEM INC 2,495,556 409,620,000 0.59%
49 XL Group plc 10,692,286 397,753,000 0.57%
50 NXP SEMICONDUCTORS N V 4,049,105 397,622,000 0.57%
Page 1 of 15

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-15-001628, filed 2015.08.10).

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.