Dark
Light
System
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 (2016Q4)
Portfolio Summary: 1,306 holdings with a total value of $10,088,630,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 TE CONNECTIVITY LTD 349,908 24,241,000 0.24%
102 ANADARKO PETE CORP 345,245 24,074,000 0.24%
103 REGIONS FINANCIAL CORP NEW 1,643,876 23,606,000 0.23%
104 NETEASE INC 106,790 22,996,000 0.23%
105 SKECHERS U S A INC 934,491 22,970,000 0.23%
106 DISNEY WALT CO 220,216 22,951,000 0.23%
107 ECOLAB INC 194,670 22,820,000 0.23%
108 TYSON FOODS INC 366,654 22,615,000 0.22%
109 BAKER HUGHES INC 347,499 22,577,000 0.22%
110 CONOCOPHILLIPS 449,681 22,547,000 0.22%
111 EXPRESS SCRIPTS HLDG CO 325,726 22,407,000 0.22%
112 BOSTON SCIENTIFIC CORP 1,027,890 22,233,000 0.22%
113 WELLTOWER INC 327,742 21,936,000 0.22%
114 PAYPAL HLDGS INC 544,779 21,502,000 0.21%
115 VENTAS INC 341,974 21,380,000 0.21%
116 QUANTA SVCS INC 600,647 20,933,000 0.21%
117 PIONEER NAT RES CO 116,123 20,910,000 0.21%
118 AFLAC INC 298,314 20,763,000 0.21%
119 WESTROCK CO 404,571 20,540,000 0.20%
120 HP INC 1,371,984 20,361,000 0.20%
121 RAYTHEON CO 141,492 20,092,000 0.20%
122 EBAY INC 671,360 19,933,000 0.20%
123 VMWARE INC 252,606 19,888,000 0.20%
124 CENTERPOINT ENERGY INC 799,231 19,693,000 0.20%
125 ALLIANCE DATA SYSTEMS CORP 86,117 19,678,000 0.20%
126 FORD MTR CO DEL 1,592,541 19,240,000 0.19%
127 AMERICAN EXPRESS CO 258,157 19,124,000 0.19%
128 QUALCOMM INC 291,910 19,032,000 0.19%
129 ALLSTATE CORP 256,159 18,986,000 0.19%
130 ANTHEM INC 132,043 18,984,000 0.19%
131 BRISTOL MYERS SQUIBB CO 323,875 18,927,000 0.19%
132 AMERICAN TOWER CORP NEW 176,481 18,651,000 0.18%
133 DIGITAL RLTY TR INC 189,309 18,601,000 0.18%
134 VORNADO REALTY 178,109 18,590,000 0.18%
135 CBS CORP NEW 289,517 18,419,000 0.18%
136 NAVIENT 1,112,744 18,283,000 0.18%
137 AMERIPRISE FINL INC 164,385 18,237,000 0.18%
138 HARTFORD FINL SVCS GROUP INC 381,011 18,155,000 0.18%
139 MORGAN STANLEY 429,342 18,140,000 0.18%
140 AUTOZONE INC 22,940 18,118,000 0.18%
141 AGNC INVT CORP 980,769 17,782,000 0.18%
142 TJX COS INC NEW 233,947 17,577,000 0.17%
143 PRINCIPAL FIN GROUP 303,530 17,562,000 0.17%
144 YUM BRANDS INC 276,485 17,510,000 0.17%
145 FEDEX CORP 93,440 17,399,000 0.17%
146 INTL PAPER CO 327,260 17,364,000 0.17%
147 AERCAP HOLDINGS NV 416,928 17,348,000 0.17%
148 EVEREST RE GROUP LTD 79,633 17,232,000 0.17%
149 AETNA INC NEW 138,167 17,134,000 0.17%
150 LAMAR ADVERTISING CO NEW CL A 253,153 17,022,000 0.17%
Page 3 of 27

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-002609, filed 2017.02.16).

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.