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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 (2016Q4)
Original 13F HR (0001085146-17-000239) filed in 2017.02.02
#
Name
Shares
Value ($)
%
Options
Notes
601 PRUDENTIAL FINL INC 151,561 15,771 0.36%
602 NUCOR CORP 265,742 15,816 0.36%
603 CENTERPOINT ENERGY INC 657,880 16,209 0.37%
604 VALERO ENERGY CORP NEW 238,734 16,310 0.37%
605 ABBOTT LABS 428,669 16,464 0.38%
606 HEWLETT PACKARD ENTERPRISE C 724,544 16,765 0.38%
607 CDN IMPERIAL BK COMM TORONTO 208,707 17,050 0.39%
608 CITRIX SYS INC 193,592 17,289 0.40%
609 MICROCHIP TECHNOLOGY INC. 282,888 18,146 0.42%
610 LAUDER ESTEE COS INC 238,078 18,210 0.42%
611 TEXAS INSTRS INC 253,385 18,489 0.42%
612 DISCOVER FINL SVCS 257,046 18,530 0.43%
613 PROCTER AND GAMBLE CO 221,078 18,587 0.43%
614 ASSURANT INC 200,273 18,596 0.43%
615 SALESFORCE COM INC 275,685 18,873 0.43%
616 VERTEX PHARMACEUTICALS INC 257,418 18,963 0.44%
617 MERCK & CO INC 325,610 19,168 0.44%
618 CATERPILLAR INC 210,814 19,550 0.45%
619 3M CO 118,156 21,098 0.48%
620 VISA INC 276,113 21,541 0.49%
621 SCHLUMBERGER LTD 267,344 22,442 0.51%
622 PFIZER INC 695,908 22,602 0.52%
623 MONSANTO CO NEW 220,361 23,183 0.53%
624 WELLS FARGO CO NEW 421,159 23,209 0.53%
625 UNITEDHEALTH GROUP INC 146,429 23,433 0.54%
626 BERKSHIRE HATHAWAY INC DEL 144,457 23,542 0.54%
627 ALEXION PHARMACEUTICALS INC 193,600 23,686 0.54%
628 TARGET CORP 335,353 24,221 0.56%
629 ANALOG DEVICES INC 335,488 24,362 0.56%
630 QUALCOMM INC 377,730 24,627 0.57%
631 UNITED TECHNOLOGIES CORP 225,189 24,684 0.57%
632 APPLIED MATLS INC 768,901 24,811 0.57%
633 CAMPBELL SOUP CO 439,734 26,589 0.61%
634 ALIBABA GROUP HLDG LTD 303,958 26,689 0.61%
635 HOME DEPOT INC 200,300 26,855 0.62%
636 BRISTOL MYERS SQUIBB CO 459,710 26,864 0.62%
637 CUMMINS INC 196,645 26,874 0.62%
638 COMERICA INC 395,127 26,911 0.62%
639 CISCO SYS INC 892,183 26,960 0.62%
640 CITIGROUP INC 470,258 27,946 0.64%
641 CHEVRON CORP NEW 240,201 28,270 0.65%
642 TRAVELERS COMPANIES INC 231,674 28,360 0.65%
643 BECTON DICKINSON & CO 174,846 28,944 0.66%
644 GENERAL ELECTRIC CO 916,720 28,967 0.66%
645 ALLSTATE CORP 391,212 28,995 0.67%
646 PHILIP MORRIS INTL INC 317,843 29,078 0.67%
647 ORACLE CORP 803,432 30,890 0.71%
648 DISNEY WALT CO 313,726 32,695 0.75%
649 AMERICAN EXPRESS CO 462,340 34,249 0.79%
650 MEAD JOHNSON NUTRITION CO 490,043 34,674 0.80%
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