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

Institutional Holdings (2016Q4)
Original 13F HR (0001650290-17-000003) filed in 2017.02.10
#
Name
Shares
Value ($)
%
Options
Notes
501 PUBLIC STORAGE 35,422 7,917 0.33%
502 BOEING CO 51,606 8,034 0.34%
503 CME GROUP INC 67,771 8,038 0.34%
504 ALLSTATE CORP 108,264 8,051 0.34%
505 UNITED PARCEL SERVICE INC 70,794 8,116 0.34%
506 ILLUMINA INC 64,656 8,279 0.35%
507 ALEXION PHARMACEUTICALS INC 68,176 8,341 0.35%
508 SCHLUMBERGER LTD 100,669 8,501 0.36%
509 CVS HEALTH CORP 109,627 8,651 0.37%
510 SYSCO CORP 159,712 8,843 0.37%
511 MASTERCARD INCORPORATED 86,354 8,916 0.38%
512 CHUBB LIMITED 67,905 9,018 0.38%
513 REGENERON PHARMACEUTICALS 24,645 9,047 0.38%
514 FIDELITY NATL INFORMATION SV 120,204 9,092 0.38%
515 CHARTER COMMUNICATIONS INC N 32,094 9,241 0.39%
516 3M CO 53,982 9,640 0.41%
517 MYLAN N V 253,087 9,655 0.41%
518 LOCKHEED MARTIN CORP 39,597 9,897 0.42%
519 TEXAS INSTRS INC 139,043 10,146 0.43%
520 WASTE MGMT INC DEL 144,552 10,250 0.43%
521 ORACLE CORP 280,174 10,773 0.46%
522 CORNING INC 460,847 11,185 0.47%
523 CISCO SYS INC 379,045 11,455 0.48%
524 QUALCOMM INC 176,442 11,504 0.49%
525 NORTHROP GRUMMAN CORP 50,691 11,790 0.50%
526 PHILIP MORRIS INTL INC 127,575 11,805 0.50%
527 MEDTRONIC PLC 165,137 11,834 0.50%
528 CITIGROUP INC 210,312 12,499 0.53%
529 ABBOTT LABS 331,656 12,739 0.54%
530 BIOGEN INC 45,335 12,856 0.54%
531 LILLY ELI & CO 183,095 13,467 0.57%
532 COCA COLA CO 335,817 13,923 0.59%
533 UNITEDHEALTH GROUP INC 87,682 14,033 0.59%
534 DANAHER CORP DEL 181,917 14,183 0.60%
535 ALLERGAN PLC 67,916 14,263 0.60%
536 PEPSICO INC 136,300 14,363 0.61%
537 GILEAD SCIENCES INC 201,728 14,446 0.61%
538 ALTRIA GROUP INC 219,096 14,949 0.63%
539 BERKSHIRE HATHAWAY INC DEL 92,258 15,036 0.64%
540 BANK AMER CORP 686,829 15,179 0.64%
541 ZOETIS INC 289,723 15,509 0.66%
542 CELGENE CORP 134,197 15,533 0.66%
543 INTEL CORP 434,628 15,764 0.67%
544 HOME DEPOT INC 119,055 15,963 0.68%
545 INTERNATIONAL BUSINESS MACHS 96,443 16,009 0.68%
546 MCDONALDS CORP 134,073 16,319 0.69%
547 VISA INC 209,718 16,362 0.69%
548 DISNEY WALT CO 158,882 16,683 0.71%
549 NVIDIA CORPORATION 160,751 17,159 0.73%
550 AMGEN INC 117,637 17,200 0.73%
Page 11 of 12