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Institutional Investment Manager
Norinchukin Bank, The
Norinchukin Bank, The (CIK: 0001496637), located at Otemachi One Tower, Tokyo, M0. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001140361-15-029249) filed in 2015.07.31
#
Name
Shares
Value ($)
%
Options
Notes
501 CVS HEALTH CORP 120,474 12,635 0.32%
502 ALLERGAN PLC 41,902 12,716 0.32%
503 GENERAL ELECTRIC CO 489,400 13,003 0.33%
504 UNITED TECHNOLOGIES CORP 118,395 13,134 0.33%
505 WAL-MART STORES INC 186,193 13,207 0.34%
506 BOEING CO 96,546 13,393 0.34%
507 ORACLE CORP 340,385 13,718 0.35%
508 MCDONALDS CORP 145,742 13,856 0.35%
509 BRISTOL MYERS SQUIBB CO 211,086 14,046 0.36%
510 UNITEDHEALTH GROUP INC 119,337 14,559 0.37%
511 PEPSICO INC 157,601 14,710 0.38%
512 PROCTER AND GAMBLE CO 191,800 15,006 0.38%
513 CISCO SYS INC 560,730 15,398 0.39%
514 GOOGLE INC 30,645 15,951 0.41%
515 COMCAST CORP NEW 268,376 16,140 0.41%
516 PHILIP MORRIS INTL INC 201,404 16,147 0.41%
517 3M CO 105,737 16,315 0.42%
518 VISA INC 245,697 16,499 0.42%
519 ISHARES NASDAQ BIOTECHNOLOGY ETF 30,558 16,503 0.42%
520 3M CO 109,900 16,958 0.43%
521 AMAZON COM INC 40,772 17,699 0.45%
522 INTERNATIONAL BUSINESS MACHS 109,900 17,876 0.46%
523 COCA COLA CO 457,148 17,934 0.46%
524 AUTOMATIC DATA PROCESSING IN 226,400 18,164 0.46%
525 GILEAD SCIENCES INC 156,913 18,371 0.47%
526 PRAXAIR INC 155,300 18,566 0.47%
527 HOME DEPOT INC 170,032 18,896 0.48%
528 INTEL CORP 626,945 19,069 0.49%
529 FACEBOOK INC 224,880 19,287 0.49%
530 INTERNATIONAL BUSINESS MACHS 122,481 19,923 0.51%
531 MERCK & CO INC 350,554 19,957 0.51%
532 COCA COLA CO 528,900 20,749 0.53%
533 AT&T INC 591,168 20,998 0.54%
534 DISNEY WALT CO 184,375 21,045 0.54%
535 VERIZON COMMUNICATIONS INC 453,169 21,122 0.54%
536 ISHARES TR 538,000 21,316 0.54%
537 APPLE INC 176,900 22,188 0.57%
538 ISHARES MSCI TAIWAN ETF 1,408,497 22,226 0.57%
539 UNION PAC CORP 238,200 22,717 0.58%
540 MCDONALDS CORP 252,400 23,996 0.61%
541 PROCTER AND GAMBLE CO 307,372 24,049 0.61%
542 PFIZER INC 736,168 24,684 0.63%
543 CHEVRON CORP NEW 263,382 25,408 0.65%
544 STARBUCKS CORP 491,000 26,325 0.67%
545 GENERAL ELECTRIC CO 1,132,528 30,091 0.77%
546 MICROSOFT CORP 685,600 30,269 0.77%
547 JOHNSON & JOHNSON 313,784 30,581 0.78%
548 SELECT SECTOR SPDR TR 419,400 31,199 0.80%
549 NIKE INC 307,300 33,195 0.85%
550 MICROSOFT CORP 881,442 38,916 0.99%
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