Dark
Light
System
Institutional Investment Manager
AMP Capital Investors Ltd
AMP Capital Investors Ltd (CIK: 0001535782), located at Level 30, Sydney, C3. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 1,180 holdings with a total value of $14,961,006,000.
#
Name
Shares
Value ($)
%
Options
Notes
1101 TRANSCANADA CORP 1,136,869 44,577,000 0.30%
1102 KILROY RLTY CORP COM 730,025 44,657,000 0.30%
1103 ALLERGAN PLC 163,096 44,844,000 0.30%
1104 UNION PAC CORP 557,464 44,909,000 0.30%
1105 ISHARES TR 461,195 45,668,000 0.31%
1106 MCDONALDS CORP 369,385 46,480,000 0.31%
1107 MEDTRONIC PLC 653,421 49,281,000 0.33%
1108 AMGEN INC 338,409 50,586,000 0.34%
1109 ISHARES TR 1,509,055 51,730,000 0.35%
1110 DOUGLAS EMMETT INC COM 1,747,506 52,565,000 0.35%
1111 STARBUCKS CORP 882,176 52,941,000 0.35%
1112 MERCK & CO INC 1,012,568 53,888,000 0.36%
1113 3M CO 326,368 54,421,000 0.36%
1114 FIRST INDL RLTY TR INC 2,410,663 55,300,000 0.37%
1115 BOSTON PROPERTIES INC 440,638 55,837,000 0.37%
1116 EVERSOURCE ENERGY 978,129 57,114,000 0.38%
1117 ACADIA RLTY TR COM SH BEN INT 1,646,503 57,679,000 0.39%
1118 HILTON WORLDWIDE 2,557,785 58,139,000 0.39%
1119 CHEVRON CORP NEW 614,880 58,567,000 0.39%
1120 WAL-MART STORES INC 863,077 59,378,000 0.40%
1121 BANK AMER CORP 4,521,075 60,945,000 0.41%
1122 MASTERCARD INCORPORATED 669,213 62,778,000 0.42%
1123 LOWES COS INC 826,967 62,865,000 0.42%
1124 SUN CMNTYS INC 915,154 65,023,000 0.43%
1125 PARAMOUNT GROUP INC COM 4,168,587 65,738,000 0.44%
1126 UNITEDHEALTH GROUP INC 511,391 66,317,000 0.44%
1127 EMPIRE ST RLTY TR INC 3,965,972 69,447,000 0.46%
1128 EDISON INTL 984,342 70,478,000 0.47%
1129 RETAIL OPPORTUNITY INVTS COR 3,508,242 70,515,000 0.47%
1130 DCT Industrial Trust Inc 1,808,620 72,071,000 0.48%
1131 INTERNATIONAL BUSINESS MACHS 511,268 75,876,000 0.51%
1132 CITIGROUPINC 1,816,257 76,068,000 0.51%
1133 PFIZER INC 2,530,598 76,095,000 0.51%
1134 BERKSHIRE HATHAWAY INC DEL 536,979 76,497,000 0.51%
1135 GILEAD SCIENCES INC 848,209 78,012,000 0.52%
1136 DISNEY WALT CO 821,616 81,266,000 0.54%
1137 CROWN CASTLE INTL CORP NEW 936,459 81,407,000 0.54%
1138 ALTRIA GROUP INC 1,312,049 82,107,000 0.55%
1139 SEMPRA ENERGY 811,511 83,969,000 0.56%
1140 GENERAL ELECTRIC CO 2,669,079 84,958,000 0.57%
1141 PHILIP MORRIS INTL INC 896,990 88,523,000 0.59%
1142 CISCO SYS INC 3,122,517 88,868,000 0.59%
1143 SPIRIT RLTY CAP INC NEW 8,092,026 89,983,000 0.60%
1144 COMCAST CORP NEW 1,511,820 91,919,000 0.61%
1145 KINDER MORGAN INC DEL 5,198,277 92,843,000 0.62%
1146 VERIZON COMMUNICATIONS INC 1,752,370 94,698,000 0.63%
1147 SL GREEN RLTY CORP 990,887 94,987,000 0.63%
1148 JPMORGAN CHASE & CO 1,608,996 96,071,000 0.64%
1149 PEPSICO INC 956,160 98,191,000 0.66%
1150 PROCTER AND GAMBLE CO 1,196,888 98,959,000 0.66%
Page 23 of 24

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-003787, filed 2016.05.16).

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.