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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 (2015Q1)
Portfolio Summary: 887 holdings with a total value of $55,407,203,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 ANTHEM INC 856,000 132,175,000 0.24%
102 CATERPILLAR INC 1,612,034 129,011,000 0.23%
103 METLIFE INC 2,527,074 127,744,000 0.23%
104 BLACKROCK INC 341,383 124,892,000 0.23%
105 TRAVELERS COMPANIES INC 1,151,483 124,510,000 0.22%
106 PHILLIPS 66 1,559,386 122,568,000 0.22%
107 NEXTERA ENERGY INC 1,156,322 120,315,000 0.22%
108 SUNCOR ENERGY INC NEW 4,081,373 119,145,000 0.22%
109 TWENTY FIRST CENTY FOX INC 3,498,507 118,389,000 0.21%
110 POTASH CORP SASK INC 3,658,403 117,903,000 0.21%
111 HALLIBURTON 2,669,878 117,154,000 0.21%
112 AUTOMATIC DATA PROCESSING IN 1,350,263 115,637,000 0.21%
113 ENBRIDGE INC 2,382,142 115,218,000 0.21%
114 KROGER CO 1,454,695 111,517,000 0.20%
115 DOMINION ENERGY INC 1,560,379 110,584,000 0.20%
116 KIMBERLY CLARK CORP 1,029,360 110,255,000 0.20%
117 SOUTHERN CO 2,487,910 110,165,000 0.20%
118 TIME WARNER INC NEW 730,245 109,449,000 0.20%
119 AMERICAN TOWER CORP NEW 1,160,302 109,242,000 0.20%
120 BANK MONTREAL QUE 1,803,893 108,026,000 0.19%
121 CANADIAN NAT RES LTD 3,480,592 106,641,000 0.19%
122 INTL PAPER CO 1,915,436 106,288,000 0.19%
123 AETNA INC NEW 997,564 106,270,000 0.19%
124 DirectTV Com 1,246,209 106,052,000 0.19%
125 YAHOO INC 2,381,723 105,832,000 0.19%
126 VALERO ENERGY CORP NEW 1,655,090 105,297,000 0.19%
127 CIGNA CORPORATION 813,296 105,273,000 0.19%
128 PUBLIC STORAGE 523,686 103,239,000 0.19%
129 GENERAL DYNAMICS CORP 759,741 103,120,000 0.19%
130 SALESFORCE COM INC 1,518,899 101,478,000 0.18%
131 EMERSON ELEC CO 1,784,273 101,026,000 0.18%
132 PRUDENTIAL FINL INC 1,230,682 98,836,000 0.18%
133 COGNIZANT TECHNOLOGY SOLUTIO 1,584,043 98,828,000 0.18%
134 REGENERON PHARMACEUTICALS 216,430 97,714,000 0.18%
135 BAXTER INTL INC 1,413,738 96,841,000 0.17%
136 EQUITY RESIDENT 1,238,478 96,428,000 0.17%
137 MICRON TECHNOLOGY INC 3,479,191 94,390,000 0.17%
138 GENERAL MLS INC 1,653,271 93,575,000 0.17%
139 ILLINOIS TOOL WKS INC 956,818 92,945,000 0.17%
140 STARBUCKS CORP 1,948,904 92,281,000 0.17%
141 SCHWAB CHARLES CORP 3,029,094 92,206,000 0.17%
142 WILLIAMS COS INC DEL 1,815,886 91,866,000 0.17%
143 WELLTOWER INC. 1,183,626 91,565,000 0.17%
144 BAKER HUGHES INC 1,430,152 90,929,000 0.16%
145 RAYTHEON CO 830,343 90,715,000 0.16%
146 ALEXION PHARMACEUTIC 522,128 90,485,000 0.16%
147 PRAXAIR INC 743,436 89,762,000 0.16%
148 EXELON CORP 2,663,880 89,533,000 0.16%
149 ADOBE INC 1,207,358 89,272,000 0.16%
150 CSX CORP 2,689,469 89,075,000 0.16%
Page 3 of 18

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001214659-15-003767, filed 2015.05.08).

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.