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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 (2016Q4)
Portfolio Summary: 1,205 holdings with a total value of $16,522,924,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 VANGUARD INTL EQUITY INDEX F 13,504,461 485,757,000 2.94%
2 SIMON PROPERTY GROUP 2,057,849 362,139,000 2.19%
3 APPLE INC 2,730,622 318,744,000 1.93%
4 PUBLIC STORAGE 1,139,275 251,096,000 1.52%
5 MICROSOFT CORP 3,776,467 237,542,000 1.44%
6 SPDR SER TR 4,551,000 197,423,000 1.19%
7 ISHARES TR 1,583,300 178,595,000 1.08%
8 FACEBOOK INC 1,408,906 163,928,000 0.99%
9 WELLS FARGO & CO NEW 2,971,441 162,953,000 0.99%
10 EQUITY RESIDENT 2,510,776 159,890,000 0.97%
11 ENBRIDGE INC 3,533,937 150,363,000 0.91%
12 AMAZON COM INC 196,290 150,191,000 0.91%
13 EXXON MOBIL CORP 1,657,490 149,754,000 0.91%
14 JPMORGAN CHASE & CO 1,664,898 142,998,000 0.87%
15 JOHNSON & JOHNSON 1,205,449 139,219,000 0.84%
16 KINDER MORGAN INC DEL 6,700,980 139,112,000 0.84%
17 ALPHABET INC 173,906 136,132,000 0.82%
18 ALPHABET INC 159,243 127,852,000 0.77%
19 AMERICAN TOWER CORP NEW 1,180,955 125,643,000 0.76%
20 UDR INC 3,481,383 124,706,000 0.75%
21 AVALONBAY COMM 682,483 119,844,000 0.73%
22 TRANSCANADA CORP 2,597,102 118,306,000 0.72%
23 EXTRA SPACE STORAGE INC 1,551,355 117,267,000 0.71%
24 GENERAL GROWTH PPTYS INC NEW 4,503,989 110,393,000 0.67%
25 ESSEX PPTY TR INC 470,661 108,027,000 0.65%
26 VISA INC 1,363,508 106,805,000 0.65%
27 FEDERAL REALTY INVS 761,819 106,692,000 0.65%
28 SPIRIT RLTY CAP INC NEW 9,937,026 105,930,000 0.64%
29 HEALTHCARE TR AMER INC 3,584,724 103,132,000 0.62%
30 CITIGROUP INC 1,724,581 102,406,000 0.62%
31 INTEL CORP 2,766,770 101,430,000 0.61%
32 PROCTER AND GAMBLE CO 1,196,370 100,912,000 0.61%
33 AT&T INC 2,327,084 99,274,000 0.60%
34 BANK AMER CORP 4,496,201 98,917,000 0.60%
35 EQUITY LIFESTYLE PPTYS INC 1,362,261 97,172,000 0.59%
36 HOME DEPOT INC 706,620 95,465,000 0.58%
37 PEPSICO INC 878,636 92,246,000 0.56%
38 ORACLE CORP 2,382,012 92,159,000 0.56%
39 BERKSHIRE HATHAWAY INC DEL 550,747 89,799,000 0.54%
40 GENERAL ELECTRIC CO 2,822,503 89,500,000 0.54%
41 CISCO SYS INC 2,872,370 87,494,000 0.53%
42 UNITEDHEALTH GROUP INC 534,521 86,080,000 0.52%
43 COMCAST CORP NEW 1,225,416 85,890,000 0.52%
44 SEMPRA ENERGY 818,904 82,700,000 0.50%
45 VERIZON COMMUNICATIONS INC 1,526,911 82,054,000 0.50%
46 CROWN CASTLE 940,453 81,829,000 0.50%
47 SUN COMMUNITIES INC COM 1,078,434 81,811,000 0.50%
48 CHEVRON CORP NEW 694,278 81,801,000 0.50%
49 COCA COLA CO 1,962,676 81,647,000 0.49%
50 SL GREEN REALTY CORP 759,100 79,784,000 0.48%
Page 1 of 25

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001085146-17-000530, filed 2017.02.13).

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.