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Institutional Investment Manager
BT INVESTMENT MANAGEMENT (RE) LTD
BT INVESTMENT MANAGEMENT (RE) LTD (CIK: 0001541741). Institutional holdings reported to the SEC.

Institutional Holdings (2017Q2)
Original 13F HR (0001104659-17-051137) filed in 2017.08.11
#
Name
Shares
Value ($)
%
Options
Notes
1201 APPLE INC 55,205 7,950,624 0.12%
1202 CHINA MOBILE LIMITED 154,842 8,220,562 0.12%
1203 GILEAD SCIENCES INC 119,111 8,430,677 0.12%
1204 APPLE INC 61,310 8,829,866 0.13%
1205 ICICI BANK LIMITED 993,534 8,912,000 0.13%
1206 AMAZON COM INC 9,333 9,034,344 0.13%
1207 CHINA PETE & CHEM CORP 115,604 9,086,474 0.13%
1208 MERCK & CO INC 143,393 9,190,057 0.13%
1209 APPLIED MATLS INC 222,838 9,205,438 0.13%
1210 JOHNSON & JOHNSON 70,094 9,272,735 0.13%
1211 BOEING CO 47,091 9,312,245 0.13%
1212 TAIWAN SEMICONDUCTOR MFG LTD 271,217 9,481,746 0.14%
1213 PROLOGIS INC 162,800 9,546,592 0.14%
1214 ALIBABA GROUP HLDG LTD 69,021 9,725,059 0.14%
1215 PNC FINL SVCS GROUP INC 79,742 9,957,384 0.14%
1216 WAL-MART STORES INC 133,587 10,109,864 0.15%
1217 UNITEDHEALTH GROUP INC 56,441 10,465,290 0.15%
1218 DELTA AIRLINES INC DEL 197,012 10,587,425 0.15%
1219 EBAY INC 319,492 11,156,661 0.16%
1220 MICROSOFT CORP 170,787 11,772,348 0.17%
1221 SIMON PPTY GROUP INC NEW 74,000 11,970,240 0.17%
1222 UNITEDHEALTH GROUP INC 70,593 13,089,354 0.19%
1223 APPLE INC 96,624 13,915,788 0.20%
1224 COMPANHIA BRASILEIRA DE DIST 722,458 14,124,054 0.20%
1225 PNC FINL SVCS GROUP INC 113,319 14,150,144 0.20%
1226 MICROSOFT CORP 220,292 15,184,728 0.22%
1227 CEMEX SAB DE CV 1,644,928 15,495,222 0.22%
1228 TATA MTRS LTD 478,318 15,789,277 0.23%
1229 HDFC BANK LTD 189,561 16,486,120 0.24%
1230 BANCOLOMBIA S A 391,918 17,459,947 0.25%
1231 BRF SA 1,591,982 18,769,468 0.27%
1232 APPLE INC 133,912 19,286,006 0.28%
1233 EVERSOURCE ENERGY 349,528 21,219,845 0.31%
1234 MASTERCARD INCORPORATED 179,080 21,749,266 0.31%
1235 BANCO BRADESCO S A 2,634,799 22,395,792 0.32%
1236 JD COM INC 595,085 23,339,234 0.34%
1237 LIBERTY GLOBAL PLC 747,676 24,015,353 0.35%
1238 GERDAU S A 10,759,810 32,817,421 0.48%
1239 WOODWARD INC 492,316 33,270,715 0.48%
1240 CHINA MOBILE LIMITED 640,494 34,003,826 0.49%
1241 UNION PAC CORP 323,392 35,220,623 0.51%
1242 MOMO INC 999,256 36,932,502 0.53%
1243 FABRINET SHS 895,725 38,211,629 0.55%
1244 ADVANCE AUTO PARTS INC 373,922 43,595,566 0.63%
1245 EDISON INTL 596,881 46,670,125 0.68%
1246 YPF SOCIEDAD ANONIMA 2,264,167 49,585,257 0.72%
1247 CRITEO S A SPONS ADS 1,030,677 50,554,707 0.73%
1248 TJX COS INC NEW 762,461 55,026,810 0.80%
1249 WEIBO CORP 959,067 63,749,183 0.92%
1250 UNITI GROUP INC 2,641,838 66,415,807 0.96%
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