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Institutional Investment Manager
Mitsubishi UFJ Asset Management Co., Ltd.
Mitsubishi UFJ Asset Management Co., Ltd. (CIK: 0001466546), located at 1-9-1 Higashi-Shinbashi Minato-Ku, Tokyo. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0000950123-14-010606) filed in 2014.10.28
#
Name
Shares
Value ($)
%
Options
Notes
651 KINDER MORGAN INC DEL 108,105 4,145 0.12%
652 NETFLIX INC 9,201 4,151 0.12%
653 INTUIT 47,632 4,175 0.13%
654 CBS CORP NEW 78,323 4,190 0.13%
655 Spectra Energy Corp Com 107,927 4,237 0.13%
656 APPLIED MATLS INC 196,120 4,238 0.13%
657 LUMEN TECHNOLOGIES INC 103,716 4,241 0.13%
658 DEVON ENERGY CORP NEW 62,298 4,247 0.13%
659 AFLAC INC 73,233 4,266 0.13%
660 VERTEX PHARMACEUTICALS INC 38,045 4,273 0.13%
661 HESS CORP 45,425 4,284 0.13%
662 ALLSTATE CORP 70,032 4,298 0.13%
663 BB&T CORP 115,681 4,304 0.13%
664 VORNADO REALTY 43,175 4,316 0.13%
665 NORTHROP GRUMMAN CORP 32,856 4,329 0.13%
666 CROWN CASTLE INTL CORP 54,044 4,352 0.13%
667 COGNIZANT TECHNOLOGY SOLUTIO 98,243 4,398 0.13%
668 STRYKER CORP 54,670 4,415 0.13%
669 AIR PRODS & CHEMS INC 33,956 4,420 0.13%
670 BOSTON PROPERTIES INC 38,739 4,484 0.13%
671 REYNOLDS AMERICAN INC 76,652 4,522 0.14%
672 PIONEER NAT RES CO 23,045 4,539 0.14%
673 DEERE & CO 55,931 4,586 0.14%
674 BAKER HUGHES INC 70,620 4,595 0.14%
675 REGENERON PHARMACEUTICALS 12,755 4,598 0.14%
676 AMERICAN ELEC PWR INC 88,191 4,604 0.14%
677 HCP INC 116,045 4,608 0.14%
678 VENTAS INC 74,444 4,612 0.14%
679 PPG INDS INC 23,453 4,614 0.14%
680 AVALONBAY COMM 32,960 4,646 0.14%
681 AETNA INC NEW 57,701 4,674 0.14%
682 EXELON CORP 138,615 4,725 0.14%
683 PROLOGIS INC 127,026 4,789 0.14%
684 JOHNSON CTLS INTL PLC 108,923 4,793 0.14%
685 EATON CORP PLC 76,844 4,870 0.15%
686 GENERAL MLS INC 98,972 4,993 0.15%
687 ECOLAB INC 43,585 5,005 0.15%
688 VIACOM INC NEW 65,665 5,052 0.15%
689 STATE STR CORP 69,534 5,118 0.15%
690 Welltower Inc. 82,153 5,124 0.15%
691 YUM BRANDS INC 71,200 5,125 0.15%
692 CARDINAL HEALTH INC 68,744 5,150 0.15%
693 CSX CORP 162,953 5,224 0.16%
694 NATIONAL OILWELL VARCO INC 68,979 5,249 0.16%
695 ADOBE INC 76,307 5,280 0.16%
696 ALEXION PHARMACEUTIC 31,979 5,303 0.16%
697 ILLINOIS TOOL WKS INC 62,945 5,314 0.16%
698 ARCHER DANIELS MIDLAND CO 105,319 5,382 0.16%
699 SALESFORCE COM INC 93,868 5,400 0.16%
700 EQUITY RESIDENTIAL 88,797 5,468 0.16%
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