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Institutional Investment Manager
Nan Shan Life Insurance Co., Ltd.
Nan Shan Life Insurance Co., Ltd. (CIK: 0001730464), located at No. 168 Zhuang Jing Road, Taipei City. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 62 holdings with a total value of $2,583,680,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 WESTLAKE CHEM CORP 30,000 1,287,000 0.05%
2 SPDR SERIES TRUST 40,829 1,421,000 0.05%
3 ISHARES TR 29,500 1,647,000 0.06%
4 AKAMAI TECHNOLOGIES INC 30,000 1,678,000 0.06%
5 Ishares - Italy 284,725 3,089,000 0.12%
6 WISDOMTREE TR 66,900 3,379,000 0.13%
7 CUMMINS INC 32,000 3,598,000 0.14%
8 VANGUARD WORLD FD 45,000 4,280,000 0.17%
9 DBX ETF TR 200,000 4,752,000 0.18%
10 Ishares - Japan 418,166 4,809,000 0.19%
11 COGNEX CORP 120,000 5,172,000 0.20%
12 LEVEL 3 COMM 108,000 5,561,000 0.22%
13 SELECT SECTOR SPDR TR 243,301 5,561,000 0.22%
14 TESLA INC 27,500 5,838,000 0.23%
15 NOVO-NORDISK A S 120,000 6,454,000 0.25%
16 ISHARES TR 68,964 6,965,000 0.27%
17 NORFOLK SOUTHERN CORP 86,000 7,321,000 0.28%
18 ALPHABET INC 11,000 7,613,000 0.29%
19 MONSANTO CO NEW 74,280 7,681,000 0.30%
20 STARBUCKS CORP 141,400 8,077,000 0.31%
21 NXP SEMICONDUCTORS N V 107,000 8,382,000 0.32%
22 APPLE INC 90,000 8,604,000 0.33%
23 ARM HOLDINGS PLC ADR 200,000 9,102,000 0.35%
24 APPLIED MATLS INC 400,000 9,588,000 0.37%
25 ISHARES TR 250,100 10,602,000 0.41%
26 KIMBERLY CLARK CORP 87,000 11,961,000 0.46%
27 BIOGEN INC 52,800 12,768,000 0.49%
28 GOLDMAN SACHS GROUP INC 88,000 13,075,000 0.51%
29 MOBILEYE N V AMSTELVEEN 322,300 14,871,000 0.58%
30 ALLERGAN PLC 65,324 15,096,000 0.58%
31 ORACLE CORP 400,000 16,372,000 0.63%
32 CELGENE CORP 170,410 16,808,000 0.65%
33 ALPHABET INC 24,800 17,448,000 0.68%
34 COMCAST CORP NEW 272,300 17,751,000 0.69%
35 MICROSOFT CORP 387,795 19,843,000 0.77%
36 ISHARES TR 82,120 21,133,000 0.82%
37 AMBARELLA INC 424,377 21,563,000 0.83%
38 DIREXION SHS ETF TRUST DAILY 20 YR TREASURY BEAR 1,343,100 22,510,000 0.87%
39 LYONDELLBASELL INDUSTRIES N 317,803 23,651,000 0.92%
40 SELECT SECTOR SPDR TR 330,000 23,663,000 0.92%
41 MASTERCARD INCORPORATED 280,835 24,730,000 0.96%
42 AMERICAN INTL GROUP INC 480,000 25,387,000 0.98%
43 UNITED STATES NATL GAS FUND 3,816,457 32,974,000 1.28%
44 AMAZON COM INC 46,500 33,276,000 1.29%
45 CTRIP COM INTL LTD 835,511 34,423,000 1.33%
46 JD COM INC 1,847,474 39,222,000 1.52%
47 MCDONALDS CORP 349,715 42,085,000 1.63%
48 PROSHARES TR 2,000,000 42,100,000 1.63%
49 FACEBOOK INC 369,225 42,195,000 1.63%
50 PALO ALTO NETWORKS INC 412,009 50,529,000 1.96%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950103-18-007594, filed 2018.06.20).

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.