Dark
Light
System
Institutional Investment Manager
E. Ohman J:or Asset Management AB
E. Ohman J:or Asset Management AB (CIK: 0002009396), located at Master Samuelsgatan 6, Stockholm, V7. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001104659-24-044069) filed in 2024.04.05
#
Name
Shares
Value ($)
%
Options
Notes
451 SIMON PPTY GROUP INC NEW 6,500 1,409,850 0.23%
452 EBAY INC 62,800 1,470,148 0.24%
453 Lowes Companies Inc. 18,900 1,496,313 0.25%
454 DEERE & CO 18,600 1,507,344 0.25%
455 Celgene Corp. 15,400 1,518,902 0.25%
456 Walgreens Boots Alliance, Inc. 18,300 1,523,841 0.25%
457 FOMENTO ECONOMICO 16,500 1,526,085 0.25%
458 Union Pacific Corporation 17,600 1,535,600 0.25%
459 KELLOGG CO 18,900 1,543,185 0.26%
460 Eli Lilly & Co. 19,600 1,543,500 0.26%
461 QUALCOMM, Inc. 30,900 1,655,313 0.27%
462 MORGAN STANLEY 67,150 1,744,557 0.29%
463 MasterCard, Inc. 20,100 1,770,006 0.29%
464 FIRST SOLAR INC 38,319 1,857,705 0.31%
465 Ford Motor Co. 150,750 1,894,928 0.31%
466 Banco Bradesco S A 246,773 1,927,297 0.32%
467 Kimberly-Clark Corp. 14,400 1,979,712 0.33%
468 CVS Health Corp. 21,300 2,039,262 0.34%
469 AbbVie, Inc. 33,100 2,049,221 0.34%
470 VMWARE INC 35,900 2,054,198 0.34%
471 Goldman Sachs Group 14,100 2,094,978 0.35%
472 McDonalds Corp. 18,400 2,214,256 0.37%
473 Amgen, Inc. 14,600 2,221,390 0.37%
474 Gilead Sciences, Inc. 27,900 2,327,418 0.39%
475 Bristol-Myers Squibb Co 32,100 2,360,955 0.39%
476 ITAU UNIBANCO HLDG SA 256,006 2,416,697 0.40%
477 Nike, Inc. 44,400 2,450,880 0.41%
478 Regal Beloit Corp. 44,902 2,471,855 0.41%
479 United Parcel Service Inc. 22,950 2,472,174 0.41%
480 United Therapeutics Corp. 23,556 2,495,052 0.41%
481 Lululemon Athletica Inc 34,911 2,578,526 0.43%
482 UnitedHealth Group Inc. 18,700 2,640,440 0.44%
483 Intuit Inc 14,500 2,744,125 0.46%
484 INFOSYS LIMITED SPONS ADR R 162,900 2,907,765 0.48%
485 MEAD JOHNSON NUTRITION CO 33,805 3,067,804 0.51%
486 Autoliv Inc 29,328 3,151,294 0.52%
487 Home Depot 25,100 3,205,019 0.53%
488 Comcast Corp. Class A 49,300 3,213,867 0.53%
489 3M CO 18,400 3,222,208 0.54%
490 PTC INC 90,000 3,382,200 0.56%
491 Berkshire Hathaway B 24,100 3,489,439 0.58%
492 Oracle Corp. 86,600 3,544,538 0.59%
493 The Hain Celestial Group, Inc. 71,659 3,565,035 0.59%
494 Coca-Cola Company 83,100 3,766,923 0.63%
495 Xylem Inc. 87,343 3,899,865 0.65%
496 Baidu, Inc. 24,000 3,963,600 0.66%
497 PepsiCo, Inc. 37,600 3,983,344 0.66%
498 Intel Corp. 123,600 4,054,080 0.67%
499 MetLife, Inc. 103,538 4,123,919 0.68%
500 Pfizer, Inc. 124,400 4,380,124 0.73%
Page 10 of 11