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Institutional Investment Manager
Candriam S.C.A.
Candriam S.C.A. (CIK: 0001537014), located at 19-21, Route D'Arlon, Strassen. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Original 13F HR (0001085146-16-004881) filed in 2016.11.15
#
Name
Shares
Value ($)
%
Options
Notes
551 F5 NETWORKS INC 81,327 10,137 0.24%
552 FIFTH THIRD BANCORP 495,965 10,147 0.24%
553 HERSHEY CO 107,827 10,308 0.25%
554 SUNTRUST BKS INC 237,069 10,384 0.25%
555 DENTSPLY SIRONA INC 175,443 10,427 0.25%
556 FEDEX CORP 59,802 10,446 0.25%
557 HCA HOLDINGS INC 139,260 10,532 0.25%
558 SKYWORKS SOLUTIONS INC 140,135 10,670 0.26%
559 CITIGROUPINC 226,556 10,700 0.26%
560 YAHOO INC 248,440 10,708 0.26%
561 ORACLE CORP 281,374 11,052 0.27%
562 STRYKER CORP 95,066 11,067 0.27%
563 VIACOM INC NEW 292,907 11,160 0.27%
564 NIKE INC 213,219 11,226 0.27%
565 ZIONS BANCORPORATION 362,062 11,231 0.27%
566 HARMAN INTL INDS INC 133,187 11,248 0.27%
567 NISOURCE 466,769 11,254 0.27%
568 CENTERPOINT ENERGY INC 496,539 11,535 0.28%
569 ANTHEM INC 93,155 11,673 0.28%
570 MACYS INC 316,713 11,734 0.28%
571 SOUTHWEST AIRLS CO 305,006 11,862 0.29%
572 MATTEL INC 394,068 11,932 0.29%
573 LILLY ELI & CO 151,277 12,141 0.29%
574 DELTA AIRLINES INC DEL 309,176 12,169 0.29%
575 AGILENT TECHNOLOGIES INC 259,232 12,207 0.29%
576 Spectra Energy Corp Com 294,936 12,609 0.30%
577 CVS HEALTH CORP 142,423 12,674 0.30%
578 APPLIED MATLS INC 427,076 12,876 0.31%
579 COMCAST CORP NEW 195,004 12,937 0.31%
580 UNITEDHEALTH GROUP INC 96,779 13,549 0.33%
581 HOME DEPOT INC 107,755 13,866 0.33%
582 CDN IMPERIAL BK COMM TORONTO 179,149 13,867 0.33%
583 AFLAC INC 197,665 14,206 0.34%
584 THERMO FISHER SCIENTIFIC INC 90,027 14,320 0.34%
585 ELECTRONIC ARTS INC 170,425 14,554 0.35%
586 INTEL CORP 386,921 14,606 0.35%
587 EXPRESS SCRIPTS HLDG CO 207,772 14,654 0.35%
588 STAPLES INC 1,756,143 15,015 0.36%
589 CUMMINS INC 121,569 15,579 0.37%
590 ALPHABET INC 20,060 15,592 0.37%
591 HESS CORP 297,522 15,953 0.38%
592 TIME WARNER INC 200,424 15,956 0.38%
593 SCHLUMBERGER LTD 205,647 16,172 0.39%
594 QUALCOMM INC 239,617 16,414 0.39%
595 ILLUMINA INC 92,414 16,788 0.40%
596 ADOBE INC 155,896 16,921 0.41%
597 KEYCORP 1,391,483 16,934 0.41%
598 NUCOR CORP 359,119 17,758 0.43%
599 VERTEX PHARMACEUTICALS INC 205,456 17,918 0.43%
600 ABBOTT LABS 430,851 18,221 0.44%
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