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Institutional Investment Manager
KBC Group NV
KBC Group NV (CIK: 0001411133), located at Havenlaan 2, Brussels, C9. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0000950123-15-001621) filed in 2015.02.12
#
Name
Shares
Value ($)
%
Options
Notes
301 YUM BRANDS INC 96,672 7,043 0.08%
302 NVIDIA CORP COM 351,041 7,038 0.08%
303 NRG ENERGY INC 260,700 7,026 0.08%
304 Occidental Petroleum Corp 86,935 7,008 0.08%
305 HASBRO INC 127,247 6,997 0.08%
306 PIONEER NATURAL RES CO 46,986 6,994 0.08%
307 Salesforce Com Inc 117,522 6,970 0.08%
308 LIBERTY GLOBAL PLC SHS CL C 143,714 6,943 0.08%
309 KROGER CO COM 107,964 6,932 0.08%
310 ASPEN INSURANCE 157,806 6,907 0.08%
311 THERMO FISHER SCIENTIFIC INC COM 54,921 6,881 0.08%
312 Praxair Inc Common 52,732 6,832 0.08%
313 UNITED CONTL HLDGS INC 102,060 6,827 0.08%
314 HCP INC 154,702 6,812 0.08%
315 RYDER SYS INC 73,301 6,806 0.08%
316 ACCENTURE PLC IRELAND 76,112 6,798 0.08%
317 Amazon Com Inc 21,893 6,794 0.08%
318 Schlumberger Ltd 79,467 6,787 0.08%
319 KANSAS CITY SOUTHERN 55,121 6,726 0.08%
320 Snap On Tools 184,918 6,713 0.08%
321 HOST HOTELS & RESORTS INC COM 282,233 6,709 0.08%
322 CALPINE CORP 302,690 6,699 0.08%
323 COSTCO WHSL CORP NEW COM 47,062 6,671 0.08%
324 TYCO INTL PLC SHS 152,019 6,668 0.08%
325 SPDR S&P 500 ETF 32,285 6,636 0.08%
326 PARTNERRE LTD 57,983 6,618 0.08%
327 Zimmer Biomet Holdings Inc 58,034 6,582 0.08%
328 LOWES COS INC COM 95,339 6,559 0.08%
329 PROCTER AND GAMBLE CO COM 71,909 6,550 0.08%
330 SANDISK CORP 66,718 6,537 0.08%
331 Medtronic PLC 89,870 6,489 0.08%
332 LEGG MASON INC 120,847 6,450 0.08%
333 HESS CORP COM 87,128 6,432 0.08%
334 UNITED THERAPEUTICS CORP DEL 49,571 6,419 0.08%
335 BLACKROCK INC 17,949 6,418 0.08%
336 PHILLIPS 66 89,229 6,398 0.08%
337 SEAGATE TECHNOLOGY PLC 96,193 6,397 0.08%
338 ENSCO PLC 213,330 6,389 0.08%
339 CONCHO RES INC 63,741 6,358 0.08%
340 DUKE ENERGY CORP NEW 75,872 6,338 0.08%
341 CHENIERE ENERGY INC 89,598 6,308 0.08%
342 General Mills Inc. 117,730 6,279 0.07%
343 VALSPAR CORP 72,257 6,249 0.07%
344 ZOETIS INC 145,042 6,241 0.07%
345 WHITEWAVE FOODS CO 178,159 6,234 0.07%
346 METLIFE INC COM 115,164 6,229 0.07%
347 ALASKA AIR GROUP INC COM 104,163 6,225 0.07%
348 LAMAR ADVERTISING CO.CLASS A 115,938 6,219 0.07%
349 Safeway Inc - Safeway PDC LLC CVR 177,060 6,218 0.07%
350 SOUTHERN CO 126,225 6,199 0.07%
Page 7 of 46
Restatement filing (0000950123-15-012521) filed in 2015.12.15
#
Name
Shares
Value ($)
%
Options
Notes
151 CITIGROUP INC 229,907 12,440 0.15%
152 KROGER CO COM 193,698 12,437 0.15%
153 TRAVELERS COMPANIES INC COM 116,723 12,355 0.15%
154 ANNALY CAP MGMT INC 1,135,637 12,276 0.15%
155 ENERGIZER HLDGS INC COM 95,077 12,223 0.15%
156 ANNALY CAP MGMT INC 1,113,014 12,032 0.14%
157 AGILENT TECHNOLOGIES INC 292,453 11,973 0.14%
158 HOME DEPOT INC COM 113,143 11,877 0.14%
159 REYNOLDS AMERICAN INC 184,558 11,862 0.14%
160 AMGEN INC COM 74,431 11,856 0.14%
161 XEROX CORP COM 854,217 11,839 0.14%
162 Allergan Inc 55,369 11,771 0.14%
163 VIACOM INC NEW 156,374 11,767 0.14%
164 PHILLIPS 66 163,588 11,729 0.14%
165 COMCAST CORP NEW 203,641 11,723 0.14%
166 LORILLARD 186,154 11,717 0.14%
167 GENERAL ELECTRIC CO COM 462,433 11,686 0.14%
168 3D SYSTEMS CORP 354,221 11,643 0.14%
169 DU PONT E I DE NEMOURS & CO COM 157,435 11,641 0.14%
170 CSX CORP 315,733 11,439 0.14%
171 Kimberly-Clark Corp 98,630 11,396 0.14%
172 CBS CORP NEW CL B 205,235 11,358 0.14%
173 LORILLARD 179,542 11,300 0.13%
174 US BANCORP DEL COM NEW 251,130 11,288 0.13%
175 LILLY ELI & CO COM 163,581 11,285 0.13%
176 LOWES COS INC COM 163,544 11,252 0.13%
177 PFIZER INC COM 360,881 11,241 0.13%
178 LORILLARD 177,812 11,191 0.13%
179 LYONDELLBASELL INDUSTRIES N 140,816 11,179 0.13%
180 HCA HEALTHCARE INC 152,182 11,169 0.13%
181 Becton Dickinson and Co 79,898 11,119 0.13%
182 General Motors Company 312,956 10,925 0.13%
183 AT&T INC COM 324,672 10,906 0.13%
184 HEWLETT PACKARD CO 270,139 10,841 0.13%
185 RALPH LAUREN CORP 58,543 10,840 0.13%
186 PROLOGIS INC 245,054 10,545 0.13%
187 CONOCOPHILLIPS COM 152,146 10,507 0.13%
188 PULTE GROUP INC 488,938 10,493 0.12%
189 COCA COLA CO COM 248,508 10,492 0.12%
190 Sempra Energy 93,329 10,393 0.12%
191 CABLEVISION SYS CORP(NEW) NY GROUP CL ACOM 503,169 10,385 0.12%
192 Salesforce Com Inc 173,916 10,315 0.12%
193 Cardinal Health Inc 127,554 10,297 0.12%
194 AMERISOURCEBERGEN CORP 113,770 10,258 0.12%
195 ADOBE SYSTEMS INC 140,945 10,247 0.12%
196 BOSTON PROPERTIES INC 79,588 10,242 0.12%
197 VALERO ENERGY CORP NEW COM 205,794 10,187 0.12%
198 MASCO CORP 403,901 10,178 0.12%
199 CALGON CARBON CORP 484,135 10,060 0.12%
200 LYONDELLBASELL INDUSTRIES N 125,561 9,968 0.12%
Page 4 of 46