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Institutional Investment Manager
American Assets Investment Management, LLC
American Assets Investment Management, LLC (CIK: 0001389256) incorporated in Delaware, located at 3430 Carmel Mountain Road, San Diego, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 144 holdings with a total value of $472,740,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 DUKE ENERGY CORP NEW 16,666 1,294,000 0.27%
52 AMERICAN INTL GROUP INC 20,000 1,306,000 0.28%
53 INTERNATIONAL BUSINESS MACHS 8,000 1,328,000 0.28%
54 ALEX REAL ESTATE EQ 12,000 1,334,000 0.28%
55 NORDSTROM INC 28,000 1,342,000 0.28%
56 EXPRESS SCRIPTS HLDG CO 20,000 1,376,000 0.29%
57 QUEST DIAGNOSTICS INC 15,000 1,379,000 0.29%
58 EQUITY RESIDENTIAL 22,000 1,416,000 0.30%
59 FEDERAL REALTY INVS 10,000 1,421,000 0.30%
60 CARDINAL HEALTH INC 20,277 1,459,000 0.31%
61 WEYERHAEUSER CO 50,000 1,505,000 0.32%
62 STRYKER CORP 12,600 1,510,000 0.32%
63 UNION PAC CORP 15,000 1,555,000 0.33%
64 MORGAN STANLEY 40,000 1,690,000 0.36%
65 AT&T INC 40,000 1,701,000 0.36%
66 BANK MONTREAL QUE 25,000 1,798,000 0.38%
67 DEUTSCHE BANK AG 100,000 1,810,000 0.38%
68 SANOFI 45,000 1,820,000 0.38%
69 CARNIVAL CORP 35,000 1,822,000 0.39%
70 LENNAR 42,610 1,829,000 0.39%
71 HP INC 127,000 1,885,000 0.40%
72 HILTON WORLDWIDE 70,000 1,904,000 0.40%
73 HARTFORD FINL SVCS GROUP INC 40,119 1,912,000 0.40%
74 OSHKOSH CORP 29,970 1,936,000 0.41%
75 TANGER FACTORY OUTLET CTRS I 55,000 1,968,000 0.42%
76 EQT CORP 30,540 1,997,000 0.42%
77 ADOBE INC 20,570 2,118,000 0.45%
78 GENERAL GROWTH 85,000 2,123,000 0.45%
79 BANK N S HALIFAX 40,000 2,227,000 0.47%
80 PUBLIC STORAGE 10,000 2,235,000 0.47%
81 AMGEN INC 15,300 2,237,000 0.47%
82 QUALCOMM INC 35,000 2,282,000 0.48%
83 COCA COLA CO 56,000 2,322,000 0.49%
84 TOYOTA MOTOR CORP 20,000 2,344,000 0.50%
85 CORESITE RLTY CORP 30,000 2,381,000 0.50%
86 PPL CORP 70,000 2,384,000 0.50%
87 CITIGROUPINC 42,000 2,496,000 0.53%
88 ORACLE CORP 65,600 2,522,000 0.53%
89 AMERIPRISE FINL INC 24,640 2,734,000 0.58%
90 ABBVIE INC 46,000 2,881,000 0.61%
91 URBAN EDGE PPTYS COM 105,000 2,889,000 0.61%
92 KINDER MORGAN INC DEL 140,000 2,899,000 0.61%
93 BRISTOL MYERS SQUIBB CO 50,000 2,922,000 0.62%
94 HEWLETT PACKARD ENTERPRISE C 127,000 2,939,000 0.62%
95 CYRUSONE INC 68,000 3,042,000 0.64%
96 ROYAL BK CDA MONTREAL QUE 45,000 3,047,000 0.64%
97 GAMESTOP CORP NEW 121,560 3,071,000 0.65%
98 FORD MTR CO DEL 253,530 3,075,000 0.65%
99 HSBC HLDGS PLC 77,053 3,096,000 0.65%
100 CAPITAL ONE FINL CORP 36,000 3,141,000 0.66%
Page 2 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001389256-17-000001, filed 2017.02.03).

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.