Dark
Light
System
Institutional Investment Manager
GAM Holding AG
GAM Holding AG (CIK: 0001438848), located at Hardstrasse 201, Zurich, V8. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Original 13F HR (0000930413-16-005292) filed in 2016.02.08
#
Name
Shares
Value ($)
%
Options
Notes
301 HUMANA INC 30,435 5,433 0.08%
302 CAPITAL ONE FINL CORP 74,977 5,412 0.08%
303 ILLINOIS TOOL WKS INC 58,060 5,381 0.08%
304 CUMMINS INC 61,116 5,381 0.08%
305 PHILLIPS 66 65,522 5,360 0.08%
306 MORGAN STANLEY 166,410 5,293 0.08%
307 EBAY INC 191,169 5,253 0.08%
308 AMBEV SA 1,177,900 5,253 0.08%
309 DELTA AIRLINES INC DEL 103,361 5,239 0.08%
310 MARSH & MCLENNAN COS INC 94,341 5,231 0.08%
311 XPO LOGISTICS INC 191,715 5,225 0.08%
312 SOUTHWEST AIRLS CO 120,870 5,205 0.08%
313 EAGLE PHARMACEUTICALS INC COM 58,200 5,161 0.08%
314 HALLIBURTON CO 151,499 5,157 0.08%
315 SPDR SER TR 122,650 5,141 0.08%
316 MINDRAY MEDICAL INTL LTD 189,119 5,125 0.08%
317 REGIONS FINANCIAL CORP NEW 529,634 5,084 0.08%
318 ISHARES 244,524 5,057 0.08%
319 FIRST SOLAR INC 76,600 5,055 0.08%
320 ISHARES TR 90,000 5,024 0.08%
321 WIPRO LIMITED SPON ADR 1 SH 434,292 5,012 0.08%
322 MACYS INC 142,609 4,988 0.08%
323 SEMPRA ENERGY 52,956 4,978 0.08%
324 MARATHON PETE CORP 95,928 4,973 0.08%
325 BOSTON SCIENTIFIC CORP 269,234 4,965 0.08%
326 BECTON DICKINSON & CO 32,085 4,944 0.08%
327 BAXTER INTL INC 129,367 4,935 0.08%
328 MASTERCARD INCORPORATED 50,460 4,913 0.08%
329 WHOLE FOODS MKT INC 145,484 4,874 0.08%
330 MCKESSON CORP 24,490 4,831 0.08%
331 INCYTE CORP 44,513 4,827 0.08%
332 PATTERN ENERGY GROUP INC 230,100 4,811 0.07%
333 INTERACTIVE BROKERS GROUP IN 109,900 4,792 0.07%
334 DOMINION ENERGY INC 70,707 4,783 0.07%
335 ECOLAB INC 41,714 4,771 0.07%
336 PNC FINL SVCS GROUP INC 49,964 4,763 0.07%
337 CALPINE CORP 328,557 4,754 0.07%
338 ENTERGY CORP NEW 69,508 4,752 0.07%
339 EOG RES INC 66,909 4,736 0.07%
340 VERTEX PHARMACEUTICALS INC 37,513 4,720 0.07%
341 ISHARES INC 122,700 4,710 0.07%
342 OWENS CORNING NEW 100,000 4,703 0.07%
343 EDISON INTL 79,224 4,691 0.07%
344 GENUINE PARTS CO 54,431 4,675 0.07%
345 REPUBLIC SVCS INC 106,145 4,669 0.07%
346 REYNOLDS AMERICAN INC 100,886 4,656 0.07%
347 CISCO SYS INC 170,490 4,630 0.07%
348 SAGE THERAPEUTICS INC 79,400 4,629 0.07%
349 DXP ENTERPRISES INC NEW COM NEW 200,000 4,560 0.07%
350 ATMOS ENERGY CORP 71,900 4,533 0.07%
Page 7 of 27