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Institutional Investment Manager
Gulf International Bank (UK) Ltd
Gulf International Bank (UK) Ltd (CIK: 0001598697), located at One Curzon Street, London, X0. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0001598697-17-000003) filed in 2017.02.08
#
Name
Shares
Value ($)
%
Options
Notes
651 PRICELINE GRP INC 15,016 22,014 0.34% SH
652 SUNCOR ENERGY INC NEW 503,352 22,097 0.34% SH
653 TEXAS INSTRS INC 303,858 22,172 0.34% SH
654 LILLY ELI & CO 303,136 22,295 0.34% SH
655 ACCENTURE PLC IRELAND 190,458 22,308 0.34% SH
656 ALIBABA GROUP HLDG LTD 261,500 22,962 0.35% SH
657 TIME WARNER INC 239,627 23,131 0.35% SH
658 WALGREENS BOOTS ALLIANCE INC 281,393 23,288 0.36% SH
659 UNITED PARCEL SERVICE INC 210,349 24,114 0.37% SH
660 STARBUCKS CORP 445,378 24,727 0.38% SH
661 ACTAVIS INC 121,024 25,416 0.39% SH
662 HONEYWELL INTL INC 219,661 25,447 0.39% SH
663 CVS HEALTH CORP 327,118 25,812 0.40% SH
664 UNITED TECHNOLOGIES CORP 241,142 26,433 0.41% SH
665 UNION PAC CORP 255,332 26,472 0.41% SH
666 GOLDMAN SACHS GROUP INC 112,040 26,827 0.41% SH
667 US BANCORP DEL 525,636 27,001 0.41% SH
668 CELGENE CORP 236,057 27,323 0.42% SH
669 BANK N S HALIFAX 369,494 27,623 0.42% SH
670 BOEING CO 183,367 28,546 0.44% SH
671 GILEAD SCIENCES INC 406,982 29,143 0.45% SH
672 QUALCOMM INC 450,785 29,391 0.45% SH
673 BRISTOL MYERS SQUIBB CO 511,090 29,868 0.46% SH
674 MEDTRONIC INC 425,669 30,320 0.46% SH
675 MASTERCARD INCORPORATED 294,222 30,378 0.47% SH
676 ABBVIE INC 497,924 31,180 0.48% SH
677 MCDONALDS CORP 260,211 31,672 0.49% SH
678 WAL-MART STORES INC 472,080 32,630 0.50% SH
679 3M CO 184,879 33,013 0.51% SH
680 AMGEN INC 228,596 33,423 0.51% SH
681 SCHLUMBERGER LTD 425,581 35,727 0.55% SH
682 ORACLE CORP 944,548 36,317 0.56% SH
683 TORONTO DOMINION BK ONT 565,190 37,426 0.57% SH
684 ROYAL BK CDA MONTREAL QUE 454,439 41,294 0.63% SH
685 VISA INC 579,401 45,204 0.69% SH
686 PEPSICO INC 440,181 46,056 0.71% SH
687 INTERNATIONAL BUSINESS MACHS 277,904 46,129 0.71% SH
688 CISCO SYS INC 1,529,972 46,235 0.71% SH
689 UNITEDHEALTH GROUP INC 291,714 46,685 0.72% SH
690 DISNEY WALT CO 470,422 49,027 0.75% SH
691 MERCK & CO INC 845,840 49,794 0.76% SH
692 HOME DEPOT INC 377,299 50,588 0.78% SH
693 COMCAST CORP NEW 734,992 50,751 0.78% SH
694 COCA COLA CO 1,254,633 52,017 0.80% SH
695 INTEL CORP 1,442,737 52,328 0.80% SH
696 CITIGROUP INC 891,704 52,993 0.81% SH
697 PFIZER INC 1,858,790 60,373 0.93% SH
698 BERKSHIRE HATHAWAY INC DEL 372,830 60,763 0.93% SH
699 PROCTER AND GAMBLE CO 782,648 65,805 1.01% SH
700 VERIZON COMMUNICATIONS INC 1,245,150 66,466 1.02% SH
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