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

Institutional Holdings (2016Q2)
Original 13F HR (0001650290-16-000007) filed in 2016.08.11
#
Name
Shares
Value ($)
%
Options
Notes
501 MALLINCKRODT PUB LTD CO 152,602 9,275 0.41%
502 QUALCOMM INC 177,788 9,524 0.43%
503 ILLUMINA INC 70,248 9,861 0.44%
504 CVS HEALTH CORP 105,498 10,100 0.45%
505 NORTHROP GRUMMAN CORP 46,445 10,324 0.46%
506 SCHLUMBERGER LTD 131,634 10,478 0.47%
507 3M CO 60,138 10,531 0.47%
508 MYLAN N V 255,041 11,028 0.49%
509 CITIGROUP INC 268,463 11,380 0.51%
510 ORACLE CORP 284,056 11,626 0.52%
511 UNITEDHEALTH GROUP INC 83,572 11,800 0.53%
512 ZOETIS INC 255,899 12,169 0.54%
513 BIOGEN INC 50,369 12,180 0.54%
514 BANK AMER CORP 920,839 12,220 0.55%
515 MCDONALDS CORP 101,663 12,234 0.55%
516 INTEL CORP 389,403 12,772 0.57%
517 MEDTRONIC PLC 147,982 12,840 0.57%
518 ALTRIA GROUP INC 189,136 13,149 0.59%
519 DISNEY WALT CO 135,062 13,212 0.59%
520 ABBOTT LABS 355,967 13,993 0.63%
521 INTERNATIONAL BUSINESS MACHS 93,284 14,159 0.63%
522 CELGENE CORP 144,128 14,215 0.64%
523 PEPSICO INC 138,010 14,727 0.66%
524 BERKSHIRE HATHAWAY INC DEL 103,378 14,968 0.67%
525 PHILIP MORRIS INTL INC 147,127 15,135 0.68%
526 LILLY ELI & CO 193,047 15,202 0.68%
527 ALLERGAN PLC 70,900 16,384 0.73%
528 CISCO SYS INC 585,904 16,810 0.75%
529 COCA COLA CO 377,464 17,249 0.77%
530 GILEAD SCIENCES INC 214,242 17,872 0.80%
531 VISA INC 241,965 17,947 0.80%
532 CHEVRON CORP NEW 174,048 18,245 0.82%
533 HOME DEPOT INC 144,768 18,485 0.83%
534 ABBVIE INC 302,401 18,722 0.84%
535 JPMORGAN CHASE & CO 312,249 19,403 0.87%
536 WELLS FARGO CO NEW 411,099 19,457 0.87%
537 AMGEN INC 128,020 19,478 0.87%
538 ALPHABET INC 28,626 20,139 0.90%
539 ALPHABET INC 30,600 21,178 0.95%
540 BRISTOL MYERS SQUIBB CO 292,507 21,625 0.97%
541 COMCAST CORP NEW 332,317 21,664 0.97%
542 AT&T INC 541,368 23,393 1.05%
543 PROCTER AND GAMBLE CO 279,087 23,630 1.06%
544 MERCK & CO INC 423,247 24,589 1.10%
545 VERIZON COMMUNICATIONS INC 445,841 24,896 1.11%
546 GENERAL ELECTRIC CO 823,219 26,123 1.17%
547 AMAZON COM INC 37,763 27,024 1.21%
548 PFIZER INC 793,111 27,925 1.25%
549 FACEBOOK INC 250,517 28,629 1.28%
550 MICROSOFT CORP 627,379 32,103 1.44%
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