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Institutional Investment Manager
IFM INVESTORS PTY LTD
IFM INVESTORS PTY LTD (CIK: 0001698246). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 294 holdings with a total value of $212,283,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 REGENERON PHARMACEUTICALS 1,017 373,000 0.18%
152 CROWN CASTLE INTL CORP NEW 4,277 371,000 0.17%
153 BOSTON SCIENTIFIC CORP 17,105 370,000 0.17%
154 AFLAC INC 5,297 369,000 0.17%
155 Spectra Energy Corp Com 8,854 364,000 0.17%
156 S&P GLOBAL INC 3,362 362,000 0.17%
157 PROLOGIS INC 6,720 355,000 0.17%
158 ALLSTATE CORP 4,792 355,000 0.17%
159 MARRIOTT INTL INC NEW 4,249 351,000 0.17%
160 INTUIT 3,060 351,000 0.17%
161 DEERE & CO 3,371 347,000 0.16%
162 TESLA INC 1,622 347,000 0.16%
163 SUNTRUST BKS INC 6,316 346,000 0.16%
164 BAKER HUGHES INC 5,299 344,000 0.16%
165 CONSTELLATION BRANDS INC 2,239 343,000 0.16%
166 O REILLY AUTOMOTIVE INC NEW 1,222 340,000 0.16%
167 ARCHER DANIELS MIDLAND CO 7,439 340,000 0.16%
168 CORNING INC 13,979 339,000 0.16%
169 MARATHON PETE CORP 6,722 338,000 0.16%
170 CBS CORP NEW 5,301 337,000 0.16%
171 ROSS STORES INC 5,094 334,000 0.16%
172 YUM BRANDS INC 5,197 329,000 0.15%
173 EQUINIX INC 915 327,000 0.15%
174 HP INC 21,910 325,000 0.15%
175 INTUITIVE SURGICAL INC 507 322,000 0.15%
176 ZOETIS INC 6,009 322,000 0.15%
177 AUTOZONE INC 407 321,000 0.15%
178 PPG INDS INC 3,362 319,000 0.15%
179 PROGRESSIVE CORP OHIO 8,833 314,000 0.15%
180 VENTAS INC 4,975 311,000 0.15%
181 SEMPRA ENERGY 3,054 307,000 0.14%
182 WELLTOWER INC 4,581 307,000 0.14%
183 AVALONBAY COMM 1,730 306,000 0.14%
184 ELECTRONIC ARTS INC 3,871 305,000 0.14%
185 APACHE CORP 4,786 304,000 0.14%
186 FISERV INC 2,852 303,000 0.14%
187 BAXTER INTL INC 6,801 302,000 0.14%
188 EDISON INTL 4,175 301,000 0.14%
189 EQUITY RESIDENTIAL 4,682 301,000 0.14%
190 FIDELITY NATL INFORMATION SV 3,964 300,000 0.14%
191 CARDINAL HEALTH INC 4,175 300,000 0.14%
192 LAS VEGAS SANDS CORP 5,590 299,000 0.14%
193 WEYERHAEUSER CO 9,864 297,000 0.14%
194 BOSTON PROPERTIES INC 2,336 294,000 0.14%
195 HCA HOLDINGS INC 3,975 294,000 0.14%
196 MICRON TECHNOLOGY INC 13,347 293,000 0.14%
197 PPL CORP 8,552 291,000 0.14%
198 M & T BK CORP 1,832 287,000 0.14%
199 PACCAR INC 4,481 286,000 0.13%
200 ST JUDE MED INC 3,564 286,000 0.13%
Page 4 of 6

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-002594, filed 2017.02.16).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.