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Institutional Investment Manager
Hikari Power Ltd
Hikari Power Ltd (CIK: 0001606152), located at 3-18-6 Toranomon, Tokyo, M0. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Portfolio Summary: 57 holdings with a total value of $716,080,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BERKSHIRE HATHAWAY, INC. CLASS A 6,191 132,599,000 18.52%
2 WELLS FARGO AND CO 2,124,000 116,183,000 16.22%
3 COCA-COLA CO 1,014,500 42,751,000 5.97%
4 INTERNATIONAL BUSINESS MACHINES CORP 217,300 35,216,000 4.92%
5 DAVITA INC 458,600 34,776,000 4.86%
6 EXXON MOBIL CORP 301,450 27,984,000 3.91%
7 GOOGLE INC 45,320 23,784,000 3.32%
8 NOVO NORDISK A/S CL B ADR 556,000 23,624,000 3.30%
9 JOHNSON AND JOHNSON 206,000 21,531,000 3.01%
10 NATIONAL OILWELL VARCO INC 309,400 20,263,000 2.83%
11 BECTON DICKINSON & CO 142,900 19,986,000 2.79%
12 Medtronic PLC 258,600 18,588,000 2.60%
13 MONSANTO CO 152,500 18,260,000 2.55%
14 INTUITIVE SURGICAL INC 29,740 15,630,000 2.18%
15 SANOFI SPONSORED ADR 342,700 15,600,000 2.18%
16 VISA INC CL A 52,200 13,834,000 1.93%
17 DEERE AND CO 154,800 13,675,000 1.91%
18 VARIAN MED SYS INC COM 142,100 12,366,000 1.73%
19 GENERAL ELECTRIC CO 402,100 10,077,000 1.41%
20 QUALCOMM INC 132,200 9,820,000 1.37%
21 MICROSOFT CORP 201,900 9,441,000 1.32%
22 Chicago Bridge & Iron Company 202,100 8,498,000 1.19%
23 CISCO SYSTEMS INC 299,800 8,277,000 1.16%
24 WAL MART STORES INC 86,700 7,448,000 1.04%
25 ABBVIE INC 87,600 5,772,000 0.81%
26 JPMORGAN CHASE AND CO 87,000 5,437,000 0.76%
27 UNITED TECHNOLOGIES CORP 44,600 5,131,000 0.72%
28 GOOGLE INC 7,150 3,786,000 0.53%
29 ABBOTT LABORATORIES 81,900 3,677,000 0.51%
30 CONOCOPHILLIPS 48,200 3,322,000 0.46%
31 Kraft Heinz Company 41,900 2,625,000 0.37%
32 GILEAD SCIENCES INC 21,600 2,050,000 0.29%
33 DirectTV Com 22,000 1,907,000 0.27%
34 MCDONALDS CORP 18,450 1,721,000 0.24%
35 DIAMOND OFFSHORE DRILLING 45,300 1,687,000 0.24%
36 APPLE INC 15,000 1,640,000 0.23%
37 ECOLAB INC 15,600 1,627,000 0.23%
38 NOW INC 61,875 1,608,000 0.22%
39 PROCTER AND GAMBLE CO 17,700 1,601,000 0.22%
40 TRANSOCEAN LTD 74,800 1,355,000 0.19%
41 SEADRILL LIMITED 110,900 1,332,000 0.19%
42 MONDELEZ INTERNATIONAL INC 29,200 1,074,000 0.15%
43 ANSYS, Inc. 12,200 996,000 0.14%
44 Nestle SA Sponsored ADR 12,000 872,000 0.12%
45 MASTERCARD INC CL A 10,000 857,000 0.12%
46 COSTCO WHOLESALE CORP 4,800 680,000 0.09%
47 VALEANT PHARMACEUTICALS INTE 4,700 679,000 0.09%
48 BARD C R INC COM 3,600 603,000 0.08%
49 FACEBOOK INC CL A 7,000 549,000 0.08%
50 MINDRAY MEDICAL INTL LTD 20,600 546,000 0.08%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001606152-15-000002, filed 2015.01.30).

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.