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Institutional Investment Manager
Meiji Yasuda Asset Management Co Ltd.
Meiji Yasuda Asset Management Co Ltd. (CIK: 0001491685), located at 2-3-2 Otemachi, Tokyo, M0. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 343 holdings with a total value of $441,738,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ABBOTT LABS 63,352 2,650,000 0.60%
52 ALTRIA GROUP INC 41,944 2,628,000 0.59%
53 CHEVRON CORP NEW 26,799 2,557,000 0.58%
54 BERKSHIRE HATHAWAY INC DEL 17,432 2,473,000 0.56%
55 COCA COLA CO 52,750 2,447,000 0.55%
56 CVS HEALTH CORP 23,487 2,436,000 0.55%
57 ALPHABET INC 3,265 2,432,000 0.55%
58 NIELSEN HLDGS PLC 45,925 2,418,000 0.55%
59 PUBLIC STORAGE 8,742 2,411,000 0.55%
60 CISCO SYS INC 82,229 2,341,000 0.53%
61 EXPRESS SCRIPTS HLDG CO 33,616 2,309,000 0.52%
62 MERCK & CO INC 42,045 2,225,000 0.50%
63 ALIBABA GROUP HLDG LTD 27,770 2,195,000 0.50%
64 DOLLAR TREE INC 26,063 2,149,000 0.49%
65 GRAINGER W W INC 8,531 1,991,000 0.45%
66 EATON CORP PLC 31,781 1,988,000 0.45%
67 INTERNATIONAL BUSINESS MACHS 12,966 1,964,000 0.44%
68 BANK AMER CORP 143,408 1,939,000 0.44%
69 COMCAST CORP NEW 29,386 1,795,000 0.41%
70 MCDONALDS CORP 13,768 1,730,000 0.39%
71 ANADARKO PETE CORP 36,623 1,706,000 0.39%
72 AMGEN INC 11,364 1,704,000 0.39%
73 AGILENT TECHNOLOGIES INC 42,491 1,693,000 0.38%
74 BRISTOL MYERS SQUIBB CO 25,794 1,648,000 0.37%
75 TRANSDIGM GROUP INC 7,079 1,560,000 0.35%
76 3M CO 9,122 1,520,000 0.34%
77 EOG RES INC 20,871 1,515,000 0.34%
78 CONSOLIDATED EDISON INC 18,893 1,448,000 0.33%
79 MEDTRONIC PLC 18,580 1,394,000 0.32%
80 LILLY ELI & CO 19,362 1,394,000 0.32%
81 MASTERCARD INCORPORATED 14,696 1,389,000 0.31%
82 UNITED PARCEL SERVICE INC 12,335 1,301,000 0.29%
83 DUKE ENERGY CORP NEW 15,779 1,273,000 0.29%
84 PPL CORP 33,183 1,263,000 0.29%
85 REYNOLDS AMERICAN INC 24,996 1,258,000 0.28%
86 BOSTON PROPERTIES INC 9,901 1,258,000 0.28%
87 BOEING CO 9,814 1,246,000 0.28%
88 HONEYWELL INTL INC 11,086 1,242,000 0.28%
89 TJX COS INC NEW 15,840 1,241,000 0.28%
90 BIOGEN INC 4,663 1,214,000 0.27%
91 FRANKLIN RESOURCES INC 30,823 1,204,000 0.27%
92 F5 NETWORKS INC 11,286 1,195,000 0.27%
93 MEAD JOHNSON NUTRITI 14,044 1,193,000 0.27%
94 B/E AEROSPACE INC 24,776 1,143,000 0.26%
95 PPG INDS INC 10,037 1,119,000 0.25%
96 AVALONBAY COMM 5,832 1,109,000 0.25%
97 KROGER CO 28,099 1,075,000 0.24%
98 DOW CHEM CO 21,047 1,070,000 0.24%
99 WELLTOWER INC 15,229 1,056,000 0.24%
100 XCEL ENERGY INC 24,883 1,041,000 0.24%
Page 2 of 7

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-016880, filed 2016.05.12).

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.