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Institutional Investment Manager
NN INVESTMENT PARTNERS HOLDINGS N.V.
NN INVESTMENT PARTNERS HOLDINGS N.V. (CIK: 0001667232). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Original 13F HR (0001667232-16-000006) filed in 2016.11.09
#
Name
Shares
Value ($)
%
Options
Notes
201 PEOPLES UNITED FINANCIAL INC 814,900 12,892 0.12%
202 GENERAL ELECTRIC CO 433,761 12,848 0.12%
203 BANK AMER CORP 814,819 12,751 0.12%
204 AT&T INC 312,000 12,671 0.12%
205 PFIZER INC 373,283 12,643 0.12%
206 FIFTH THIRD BANCORP 613,200 12,546 0.12%
207 MAGNA INTL INC 292,080 12,545 0.12%
208 BB&T CORP 331,807 12,516 0.12%
209 US BANCORP DEL 281,092 12,056 0.11%
210 ELECTRONIC ARTS INC 139,140 11,883 0.11%
211 LOWES COS INC 164,161 11,854 0.11%
212 CREDICORP LTD 77,500 11,797 0.11%
213 MERCK & CO INC 188,848 11,786 0.11%
214 GILEAD SCIENCES INC 148,547 11,754 0.11%
215 TRAVELPORT WORLDWIDE LTD 764,320 11,488 0.11%
216 VERIZON COMMUNICATIONS INC 218,073 11,336 0.11%
217 MONDELEZ INTL INC 256,738 11,271 0.11%
218 ABBOTT LABS 265,110 11,212 0.11%
219 GENERAL ELECTRIC CO 375,904 11,134 0.10%
220 PNC FINL SVCS GROUP INC 122,336 11,021 0.10%
221 AMGEN INC 65,628 10,947 0.10%
222 CONOCOPHILLIPS 251,468 10,932 0.10%
223 SHAW COMMUNICATIONS INC 532,746 10,900 0.10%
224 WELLS FARGO CO NEW 242,758 10,749 0.10%
225 GILEAD SCIENCES INC 134,473 10,640 0.10%
226 OCCIDENTAL PETE CORP DEL 145,800 10,632 0.10%
227 BOEING CO 80,460 10,600 0.10%
228 ANTERO RES CORP 390,937 10,537 0.10%
229 PROCTER AND GAMBLE CO 116,236 10,432 0.10%
230 LILLY ELI & CO 129,769 10,415 0.10%
231 TAIWAN SEMICONDUCTOR MFG LTD 340,466 10,415 0.10%
232 WASTE MGMT INC DEL 163,169 10,403 0.10%
233 VANGUARD INTL EQUITY INDEX F 275,537 10,368 0.10%
234 CARDINAL HEALTH INC 133,277 10,356 0.10%
235 BANK NEW YORK MELLON CORP 258,565 10,311 0.10%
236 MCDONALDS CORP 88,858 10,251 0.10%
237 HALLIBURTON CO 228,216 10,242 0.10%
238 CONAGRA BRANDS INC 216,100 10,180 0.10%
239 QUEST DIAGNOSTICS INC 120,154 10,168 0.10%
240 DOMTAR CORP 273,400 10,151 0.10%
241 MACYS INC 273,297 10,125 0.10%
242 SYMANTEC CORP 402,250 10,096 0.09%
243 EXXON MOBIL CORP 115,590 10,089 0.09%
244 CHEVRON CORP NEW 97,315 10,016 0.09%
245 MATTEL INC 330,300 10,002 0.09%
246 CYPRESS SEMICONDUCTOR CORP 818,300 9,951 0.09%
247 CORNING INC 419,100 9,912 0.09%
248 QUEST DIAGNOSTICS INC 116,642 9,871 0.09%
249 CHEVRON CORP NEW 95,734 9,853 0.09%
250 DICKS SPORTING GOODS 173,330 9,832 0.09%
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