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Institutional Investment Manager
Sumitomo Mitsui Trust Group, Inc.
Sumitomo Mitsui Trust Group, Inc. (CIK: 0001475365), registered under Commercial Banks, Nec, located at 1-1, Shibakoen, 1-Chome, Minato-Ku, Tokyo, M0. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 801 holdings with a total value of $48,709,526,000.
#
Name
Shares
Value ($)
%
Options
Notes
751 ALTRIA GROUP INC 4,867,521 204,144,000 0.42%
752 AMERICAN INTL GROUP INC 3,807,835 207,832,000 0.43%
753 UNITEDHEALTH GROUP INC 2,543,433 207,926,000 0.43%
754 OCCIDENTAL PETE CORP DEL 2,051,039 210,498,000 0.43%
755 ABBVIE INC 3,831,826 216,268,000 0.44%
756 AMGEN INC 1,909,055 225,975,000 0.46%
757 AMERICAN EXPRESS CO 2,401,497 227,830,000 0.47%
758 3M CO 1,594,776 228,436,000 0.47%
759 BOEING CO 1,803,442 229,452,000 0.47%
760 UNION PAC CORP 2,324,783 231,897,000 0.48%
761 TORONTO DOMINION BK ONT 4,624,990 238,187,000 0.49%
762 MCDONALDS CORP 2,539,506 255,830,000 0.53%
763 CVS HEALTH CORP 3,401,509 256,372,000 0.53%
764 UNITED TECHNOLOGIES CORP 2,240,522 258,668,000 0.53%
765 ROYAL BK CDA MONTREAL QUE 3,620,086 258,898,000 0.53%
766 CONOCOPHILLIPS 3,292,380 282,256,000 0.58%
767 VISA INC 1,373,177 289,342,000 0.59%
768 WAL-MART STORES INC 4,056,453 304,518,000 0.63%
769 AMAZON COM INC 938,251 304,725,000 0.63%
770 COMCAST CORP NEW 5,717,231 306,901,000 0.63%
771 HOME DEPOT INC 3,800,045 307,652,000 0.63%
772 PHILIP MORRIS INTL INC 3,808,726 321,114,000 0.66%
773 PEPSICO INC 3,735,787 333,755,000 0.69%
774 FACEBOOK INC 4,979,830 335,093,000 0.69%
775 QUALCOMM INC 4,251,180 336,693,000 0.69%
776 CISCO SYS INC 13,686,137 340,101,000 0.70%
777 GILEAD SCIENCES INC 4,122,092 341,763,000 0.70%
778 DISNEY WALT CO 4,082,906 350,068,000 0.72%
779 SCHLUMBERGER LTD 3,143,499 370,776,000 0.76%
780 ORACLE CORP 9,172,438 371,759,000 0.76%
781 BERKSHIRE HATHAWAY INC DEL 2,965,591 375,325,000 0.77%
782 CITIGROUPINC 8,178,452 385,205,000 0.79%
783 BANK AMER CORP 25,650,206 394,244,000 0.81%
784 INTEL CORP 13,097,047 404,699,000 0.83%
785 COCA COLA CO 9,622,422 407,606,000 0.84%
786 ISHARES NASDAQ BIOTECHNOLOGY ETF 699,851 409,182,000 0.84%
787 GOOGLE INC 718,884 413,560,000 0.85%
788 MERCK & CO INC 7,229,877 418,248,000 0.86%
789 INTERNATIONAL BUSINESS MACHS 2,499,064 453,005,000 0.93%
790 AT&T INC 13,857,816 490,012,000 1.01%
791 PFIZER INC 16,804,560 498,759,000 1.02%
792 VERIZON COMMUNICATIONS INC 10,273,575 502,686,000 1.03%
793 JPMORGAN CHASE & CO 9,467,153 545,497,000 1.12%
794 PROCTER AND GAMBLE CO 7,023,855 552,005,000 1.13%
795 GENERAL ELECTRIC CO 24,308,967 638,840,000 1.31%
796 CHEVRON CORP NEW 5,029,620 656,617,000 1.35%
797 WELLS FARGO & CO NEW 12,846,383 675,206,000 1.39%
798 JOHNSON & JOHNSON 6,993,289 731,638,000 1.50%
799 MICROSOFT CORP 19,467,179 811,781,000 1.67%
800 EXXON MOBIL CORP 10,785,989 1,085,933,000 2.23%
Page 16 of 17

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001214659-14-005749, filed 2014.08.11).

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.