Dark
Light
System
Institutional Investment Manager
TREDJE AP-FONDEN
TREDJE AP-FONDEN (CIK: 0001650290). Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0000950103-15-006497) filed in 2015.08.14
#
Name
Shares
Value ($)
%
Options
Notes
251 BROADCOM CORP CL A 118,614 6,107 0.49%
252 QUALCOMM INC 100,974 6,324 0.51%
253 NORTHROP GRUMMAN CORP 39,990 6,344 0.51%
254 MCDONALDS CORP 67,255 6,394 0.51%
255 UNITED TECHNOLOGIES CORP 57,893 6,422 0.51%
256 MASTERCARD INCORPORATED 72,563 6,783 0.54%
257 BIOGEN INC 16,804 6,788 0.54%
258 3M CO 44,712 6,899 0.55%
259 ALTRIA GROUP INC 140,050 6,923 0.55%
260 TEXAS INSTRS INC 134,460 6,926 0.55%
261 GOLDMAN SACHS GROUP INC 33,823 7,062 0.57%
262 MEDTRONIC PLC 100,057 7,452 0.60%
263 ALEXION PHARMACEUTICALS INC 45,785 7,837 0.63%
264 SCHLUMBERGER LTD 91,595 7,940 0.64%
265 ALLERGAN PLC 26,237 7,962 0.64%
266 BOEING CO 57,505 7,977 0.64%
267 AMAZON COM INC 18,620 8,083 0.65%
268 INTUIT 80,697 8,132 0.65%
269 UNITEDHEALTH GROUP INC 66,913 8,163 0.65%
270 CVS HEALTH CORP 80,971 8,492 0.68%
271 PHILIP MORRIS INTL INC 108,192 8,782 0.70%
272 VISA INC 136,880 9,191 0.74%
273 PEPSICO INC 104,576 9,835 0.79%
274 AT&T INC 279,336 9,922 0.79%
275 ORACLE CORP 246,613 9,939 0.80%
276 VERIZON COMMUNICATIONS INC 218,243 10,172 0.81%
277 BERKSHIRE HATHAWAY INC DEL 81,902 11,148 0.89%
278 Hewlett Packard Co 384,335 11,588 0.93%
279 COCA COLA CO 293,793 11,622 0.93%
280 CITIGROUP INC 212,838 11,757 0.94%
281 COMCAST CORP NEW 206,808 12,489 1.00%
282 CHEVRON CORP NEW 131,915 12,726 1.02%
283 BANK AMER CORP 749,347 12,754 1.02%
284 ISHARES NASDAQ BIOTECHNOLOGY ETF 24,313 13,130 1.05%
285 GOOGLE INC 25,564 13,306 1.07%
286 HOME DEPOT INC 124,614 13,848 1.11%
287 PROCTER AND GAMBLE CO 191,082 14,950 1.20%
288 CISCO SYS INC 553,411 15,197 1.22%
289 FACEBOOK INC 188,644 16,179 1.30%
290 JPMORGAN CHASE & CO 262,557 17,791 1.42%
291 JOHNSON & JOHNSON 196,525 19,153 1.53%
292 WELLS FARGO CO NEW 344,237 19,360 1.55%
293 GENERAL ELECTRIC CO 750,053 20,101 1.61%
294 MERCK & CO INC 384,718 21,994 1.76%
295 DISNEY WALT CO 194,660 22,218 1.78%
296 MICROSOFT CORP 534,035 23,578 1.89%
297 CELGENE CORP 206,729 23,926 1.92%
298 EXXON MOBIL CORP 296,050 24,631 1.97%
299 AMGEN INC 162,988 25,022 2.00%
300 ABBVIE INC 395,782 26,593 2.13%
Page 6 of 7