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Institutional Investment Manager
SWISS LIFE ASSET MANAGEMENT LTD
SWISS LIFE ASSET MANAGEMENT LTD (CIK: 0001637689). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Original 13F HR (0001172661-25-005302) filed in 2025.12.29
#
Name
Shares
Value ($)
%
Options
Notes
51 COCA COLA CO 345,643 14,623,292 0.50%
52 BERKSHIRE HATHAWAY INC DEL 100,898 14,572,496 0.50%
53 GILEAD SCIENCES INC 182,872 14,467,834 0.49%
54 PPL CORP 404,206 13,970,816 0.48%
55 VISA INC 166,842 13,793,723 0.47%
56 GENERAL MLS INC 207,149 13,229,950 0.45%
57 DANAHER CORP DEL 164,895 12,922,456 0.44%
58 CHEVRON CORP NEW 124,894 12,854,048 0.44%
59 DU PONT E I DE NEMOURS & CO 188,369 12,613,178 0.43%
60 MARRIOTT INTL INC NEW 187,166 12,600,515 0.43%
61 NIKE INC 237,650 12,512,273 0.43%
62 ORACLE CORP 317,021 12,452,585 0.42%
63 ECOLAB INC 101,978 12,408,537 0.42%
64 AUTOMATIC DATA PROCESSING IN 139,120 12,266,258 0.42%
65 ABBVIE INC 191,045 12,047,144 0.41%
66 ISHARES TR 255,100 11,560,442 0.39%
67 UNITED PARCEL SERVICE INC 105,705 11,552,937 0.39%
68 MCDONALDS CORP 85,221 9,826,773 0.33%
69 CVS HEALTH CORP 108,390 9,645,022 0.33%
70 WAL-MART STORES INC 126,789 9,140,824 0.31%
71 CELGENE CORP 86,480 9,038,187 0.31%
72 MONDELEZ INTL INC 204,946 8,997,129 0.31%
73 UNION PAC CORP 92,244 8,996,557 0.31%
74 CHUBB LIMITED 70,195 8,815,910 0.30%
75 UNITED TECHNOLOGIES CORP 86,006 8,738,210 0.30%
76 AMERICAN EXPRESS CO 134,715 8,626,461 0.29%
77 AMERIPRISE FINL INC 85,747 8,552,538 0.29%
78 BLACKROCK INC 23,333 8,457,279 0.29%
79 TIME WARNER INC 101,808 8,104,935 0.28%
80 BRISTOL MYERS SQUIBB CO 146,481 7,898,256 0.27%
81 TRAVELERS COMPANIES INC 68,338 7,823,306 0.27%
82 EOG RES INC 79,994 7,734,611 0.26%
83 CSX CORP 249,082 7,597,001 0.26%
84 BOEING CO 57,471 7,570,642 0.26%
85 SCHLUMBERGER LTD 96,247 7,568,864 0.26%
86 GOLDMAN SACHS GROUP INC 46,325 7,470,723 0.25%
87 STARBUCKS CORP 133,762 7,235,579 0.25%
88 METLIFE INC 157,288 6,988,097 0.24%
89 OCCIDENTAL PETE CORP DEL 92,149 6,719,505 0.23%
90 PACCAR INC 114,030 6,702,683 0.23%
91 PARKER HANNIFIN CORP 52,127 6,543,502 0.22%
92 ALLSTATE CORP 94,034 6,496,737 0.22%
93 FRANKLIN RESOURCES INC 178,881 6,362,797 0.22%
94 CONOCOPHILLIPS 128,343 5,579,065 0.19%
95 MICRON TECHNOLOGY INC 292,139 5,194,231 0.18%
96 PNC FINL SVCS GROUP INC 52,502 4,729,905 0.16%
97 VERTEX PHARMACEUTICALS INC 54,062 4,714,747 0.16%
98 INTUITIVE SURGICAL INC 6,493 4,703,702 0.16%
99 EXXON MOBIL CORP 53,881 4,698,549 0.16%
100 TYSON FOODS INC 62,104 4,636,009 0.16%
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