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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 (2016Q2)
Portfolio Summary: 439 holdings with a total value of $698,168,000.
#
Name
Shares
Value ($)
%
Options
Notes
351 PAYCHEX INC 37,328 2,221,000 0.32%
352 EQUITY RESIDENTIAL 32,872 2,264,000 0.32%
353 MASTERCARD INCORPORATED 25,826 2,274,000 0.33%
354 REYNOLDS AMERICAN INC 42,186 2,275,000 0.33%
355 S&P GLOBAL INC 21,329 2,288,000 0.33%
356 DOLLAR TREE INC 24,910 2,348,000 0.34%
357 AUTOMATIC DATA PROCESSING IN 25,821 2,372,000 0.34%
358 EOG RES INC 28,776 2,400,000 0.34%
359 ALIBABA GROUP HLDG LTD 30,970 2,463,000 0.35%
360 STRYKER CORP 20,616 2,470,000 0.35%
361 TJX COS INC NEW 32,430 2,505,000 0.36%
362 CHUBB LIMITED 19,530 2,553,000 0.37%
363 AMGEN INC 16,904 2,572,000 0.37%
364 3M CO 15,582 2,729,000 0.39%
365 LAUDER ESTEE COS INC 30,463 2,773,000 0.40%
366 AVALONBAY COMM 15,532 2,802,000 0.40%
367 NIELSEN HLDGS PLC 54,033 2,808,000 0.40%
368 GENERAL MLS INC 40,228 2,869,000 0.41%
369 SOUTHERN CO 54,837 2,941,000 0.42%
370 BANK AMER CORP 221,768 2,943,000 0.42%
371 PRUDENTIAL FINL INC 41,449 2,957,000 0.42%
372 AMERICAN EXPRESS CO 49,789 3,025,000 0.43%
373 PRICELINE GRP INC 2,513 3,137,000 0.45%
374 UNITED PARCEL SERVICE INC 29,305 3,157,000 0.45%
375 CVS HEALTH CORP 33,507 3,208,000 0.46%
376 CONSOLIDATED EDISON INC 39,983 3,216,000 0.46%
377 MONSANTO CO NEW 31,242 3,231,000 0.46%
378 EXPRESS SCRIPTS HLDG CO 44,553 3,377,000 0.48%
379 LILLY ELI & CO 43,512 3,427,000 0.49%
380 NIKE INC 62,222 3,435,000 0.49%
381 ALLERGAN PLC 14,991 3,464,000 0.50%
382 MEDTRONIC PLC 40,675 3,529,000 0.51%
383 INTERNATIONAL BUSINESS MACHS 23,526 3,571,000 0.51%
384 ABBOTT LABS 93,158 3,662,000 0.52%
385 TEXAS INSTRS INC 58,679 3,676,000 0.53%
386 COMCAST CORP NEW 56,941 3,712,000 0.53%
387 MCDONALDS CORP 31,548 3,796,000 0.54%
388 ALPHABET INC 5,545 3,838,000 0.55%
389 ECOLAB INC 32,397 3,842,000 0.55%
390 DUKE ENERGY CORP NEW 45,139 3,872,000 0.55%
391 BRISTOL MYERS SQUIBB CO 53,674 3,948,000 0.57%
392 WALGREENS BOOTS ALLIANCE INC 47,757 3,977,000 0.57%
393 UNION PAC CORP 45,741 3,991,000 0.57%
394 PUBLIC STORAGE 15,837 4,048,000 0.58%
395 GILEAD SCIENCES INC 49,206 4,105,000 0.59%
396 CELGENE CORP 42,382 4,180,000 0.60%
397 ISHARES TR 147,800 4,183,000 0.60%
398 UNITED TECHNOLOGIES CORP 40,974 4,202,000 0.60%
399 STARBUCKS CORP 74,561 4,259,000 0.61%
400 CISCO SYS INC 149,879 4,300,000 0.62%
Page 8 of 9

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-019590, filed 2016.08.12).

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.