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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 (2015Q2)
Portfolio Summary: 903 holdings with a total value of $55,660,217,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 CBS CORP NEW 1,197,200 66,445,000 0.12%
202 CUMMINS INC 504,149 66,139,000 0.12%
203 PROLOGIS INC 1,773,843 65,810,000 0.12%
204 MAGNA INTL INC 1,169,661 65,628,000 0.12%
205 V F CORP 940,457 65,587,000 0.12%
206 APACHE CORP 1,124,390 64,799,000 0.12%
207 SEMPRA ENERGY 651,076 64,417,000 0.12%
208 ALLIANCE DATA SYSTEM 220,443 64,356,000 0.12%
209 NUCOR CORP 1,458,728 64,286,000 0.12%
210 TESLA INC 238,509 63,982,000 0.11%
211 BHP GROUP PLC 1,616,618 63,953,000 0.11%
212 INTERCONTINENTAL EXCHANGE IN 285,866 63,922,000 0.11%
213 ZOETIS INC 1,308,507 63,096,000 0.11%
214 BOSTON PROPERTIES 520,990 63,061,000 0.11%
215 MARATHON OIL CORP 2,368,597 62,863,000 0.11%
216 DOLLAR GEN CORP NEW 807,838 62,801,000 0.11%
217 BOSTON SCIENTIFIC CORP 3,528,702 62,458,000 0.11%
218 MICRON TECHNOLOGY INC 3,308,007 62,323,000 0.11%
219 AMERIPRISE FINL INC 492,119 61,480,000 0.11%
220 APPLIED MATLS INC 3,170,032 60,928,000 0.11%
221 L BRANDS INC 707,844 60,683,000 0.11%
222 SHERWIN WILLIAMS CO 220,486 60,638,000 0.11%
223 WASTE MGMT INC DEL 1,306,356 60,550,000 0.11%
224 CARNIVAL CORP 1,219,040 60,208,000 0.11%
225 SKYWORKS SOLUTIONS INC 577,068 60,073,000 0.11%
226 O REILLY AUTOMOTIVE INC NEW 264,923 59,867,000 0.11%
227 WESTERN DIGITAL CORP 763,254 59,854,000 0.11%
228 AUTOZONE INC 89,664 59,797,000 0.11%
229 HCP INC 1,635,284 59,639,000 0.11%
230 SUNTRUST BKS INC 1,385,828 59,618,000 0.11%
231 VIACOM CLASS B 920,246 59,485,000 0.11%
232 PUBLIC SVC ENTERPRISE GRP IN 1,505,504 59,136,000 0.11%
233 VORNADO RLTY TR 622,580 59,102,000 0.11%
234 Chubb Corporation 620,891 59,072,000 0.11%
235 DEVON ENERGY CORP NEW 989,635 58,873,000 0.11%
236 BIOMARIN 429,515 58,749,000 0.11%
237 CF INDS HLDGS INC 913,214 58,701,000 0.11%
238 LINKEDIN CORP COM CL A 283,513 58,582,000 0.11%
239 MONSTER BEVERAGE COR 436,750 58,533,000 0.11%
240 CERNER CORP 840,786 58,065,000 0.10%
241 HESS CORP 863,655 57,761,000 0.10%
242 SPECTRA ENERGY CORP 1,733,297 56,505,000 0.10%
243 NOBLE ENERGY INC 1,322,028 56,424,000 0.10%
244 SYSCO CORP 1,558,662 56,268,000 0.10%
245 GOLDCORP INC NEW 3,441,722 55,736,000 0.10%
246 FISERV INC 665,870 55,154,000 0.10%
247 ROSS STORES INC 1,130,213 54,940,000 0.10%
248 HARTFORD FINL SVCS GROUP INC 1,312,072 54,543,000 0.10%
249 LAS VEGAS SANDS CORP 1,037,075 54,519,000 0.10%
250 NATIONAL OILWELL 1,114,644 53,815,000 0.10%
Page 5 of 19

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001214659-15-005711, filed 2015.07.31).

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.