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 (2016Q3)
Portfolio Summary: 1,233 holdings with a total value of $16,284,350,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SIMON PROPERTY GROUP 2,114,406 438,908,000 2.70%
2 VANGUARD INTL EQUITY INDEX F 8,961,100 334,787,000 2.06%
3 APPLE INC 2,637,868 295,915,000 1.82%
4 PUBLIC STORAGE 1,274,573 286,764,000 1.76%
5 ISHARES TR 2,059,184 239,873,000 1.47%
6 MICROSOFT CORP 3,866,303 221,924,000 1.36%
7 FACEBOOK INC 1,385,630 177,485,000 1.09%
8 EQUITY RESIDENT 2,722,375 175,400,000 1.08%
9 AMAZON COM INC 210,634 174,626,000 1.07%
10 ENBRIDGE INC 3,578,780 157,177,000 0.97%
11 KINDER MORGAN INC DEL 6,724,359 153,047,000 0.94%
12 ALPHABET INC 187,556 145,359,000 0.89%
13 AMERICAN TOWER CORP NEW 1,262,696 143,292,000 0.88%
14 EXXON MOBIL CORP 1,640,330 141,823,000 0.87%
15 EXTRA SPACE STORAGE INC 1,728,039 139,831,000 0.86%
16 UDR INC 3,832,938 139,635,000 0.86%
17 JOHNSON & JOHNSON 1,143,319 134,077,000 0.82%
18 AVALONBAY COMM 737,236 132,260,000 0.81%
19 WELLS FARGO & CO NEW 2,945,738 130,703,000 0.80%
20 SPIRIT RLTY CAP INC NEW 9,618,826 128,987,000 0.79%
21 GENERAL GROWTH PPTYS INC NEW 4,634,009 127,762,000 0.78%
22 ALPHABET INC 157,685 126,564,000 0.78%
23 FEDERAL REALTY INVS 807,924 125,486,000 0.77%
24 TRANSCANADA CORP 2,595,683 123,638,000 0.76%
25 ESSEX PPTY TR INC 533,939 120,476,000 0.74%
26 EQUITY LIFESTYLE PPTYS INC 1,492,589 117,225,000 0.72%
27 HEALTHCARE TR AMER INC 3,540,794 117,025,000 0.72%
28 INTEL CORP 3,050,361 113,838,000 0.70%
29 VISA INC 1,378,166 112,901,000 0.69%
30 JPMORGAN CHASE & CO 1,676,091 110,034,000 0.68%
31 PROCTER AND GAMBLE CO 1,202,684 106,112,000 0.65%
32 AT&T INC 2,403,700 97,903,000 0.60%
33 PEPSICO INC 898,004 96,770,000 0.59%
34 ORACLE CORP 2,425,714 94,896,000 0.58%
35 SEMPRA ENERGY 882,846 94,421,000 0.58%
36 SL GREEN REALTY CORP 860,887 92,899,000 0.57%
37 COCA COLA CO 2,202,048 92,552,000 0.57%
38 CISCO SYS INC 2,911,534 91,392,000 0.56%
39 SUN COMMUNITIES INC COM 1,119,034 88,884,000 0.55%
40 HOME DEPOT INC 692,425 88,580,000 0.54%
41 PHILIP MORRIS INTL INC 899,632 87,966,000 0.54%
42 CITIGROUP INC 1,918,370 87,863,000 0.54%
43 CROWN CASTLE 919,099 86,404,000 0.53%
44 COMCAST CORP NEW 1,301,108 86,199,000 0.53%
45 PFIZER INC 2,544,456 84,780,000 0.52%
46 VERIZON COMMUNICATIONS INC 1,568,624 81,754,000 0.50%
47 GENERAL ELECTRIC CO 2,722,685 80,401,000 0.49%
48 DOUGLAS EMMETT INC COM 2,153,932 78,875,000 0.48%
49 BERKSHIRE HATHAWAY INC DEL 539,936 77,530,000 0.48%
50 UNITEDHEALTH GROUP INC 556,004 76,905,000 0.47%
Page 1 of 25

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-16-004743, filed 2016.11.14).

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.