PFA Pension, børsnoterede aktier
|
|
|
- Jessie Wilkinson
- 10 years ago
- Views:
Transcription
1 PFA Pension, børsnoterede aktier Beholdningsliste, ultimo juni 2015 Navn Markedsværdi (mio. kr.) Porteføljevægt Novo Nordisk A/S ,9% Danske Bank A/S ,4% AP Moeller - Maersk A/S ,1% Pandora A/S ,8% Apple Inc ,5% Nestle SA 968 1,4% Walt Disney Co/The 921 1,3% Google Inc 817 1,2% Reckitt Benckiser Group PLC 777 1,1% Thermo Fisher Scientific Inc 766 1,1% Novartis AG 685 1,0% United Parcel Service Inc 674 1,0% Xerox Corp 669 1,0% LVMH Moet Hennessy Louis Vuitton SE 664 0,9% Linde AG 637 0,9% Vestas Wind Systems A/S 600 0,9% Berkshire Hathaway Inc 571 0,8% Medtronic PLC 570 0,8% Visa Inc 556 0,8% Diageo PLC 555 0,8% Accenture PLC 554 0,8% Cie Financiere Richemont SA 550 0,8% UnitedHealth Group Inc 535 0,8% Wells Fargo & Co 535 0,8% Roche Holding AG 529 0,8% Vodafone Group PLC 524 0,7% Time Warner Inc 514 0,7% BlackRock Inc 504 0,7% General Electric Co 501 0,7% American Express Co 490 0,7% MasterCard Inc 488 0,7% JPMorgan Chase & Co 481 0,7% Coloplast A/S 480 0,7% Citigroup Inc 460 0,7% Allergan plc 457 0,7% Nordea Bank AB 437 0,6% DSV A/S 430 0,6% Canadian National Railway Co 424 0,6% BP PLC 414 0,6% ING Groep NV 409 0,6% ISS A/S 405 0,6% Novozymes A/S 404 0,6% Carlsberg A/S 400 0,6% Amadeus IT Holding SA 376 0,5% PVH Corp 375 0,5% Danone SA 368 0,5% Oracle Corp 363 0,5% Jyske Bank A/S 361 0,5% McGraw Hill Financial Inc 350 0,5% Telenor ASA 336 0,5% Waters Corp 330 0,5% 3M Co 329 0,5% Ally Financial Inc 316 0,5% WPP PLC 315 0,4%
2 Svenska Handelsbanken AB 314 0,4% Heineken NV 311 0,4% Legrand SA 308 0,4% State Street Corp 299 0,4% SAP SE 298 0,4% Unilever NV 294 0,4% Synchrony Financial 288 0,4% Microsoft Corp 284 0,4% HSBC Holdings PLC 284 0,4% Tryg A/S 283 0,4% Praxair Inc 281 0,4% Alibaba Group Holding Ltd 281 0,4% Volkswagen AG 276 0,4% British American Tobacco PLC 275 0,4% Home Depot Inc/The 275 0,4% Akzo Nobel NV 269 0,4% Koninklijke Philips NV 268 0,4% Zurich Insurance Group AG 264 0,4% Advance Auto Parts Inc 256 0,4% Ingersoll-Rand PLC 250 0,4% TDC A/S 249 0,4% FANUC Corp 247 0,4% DNB ASA 247 0,4% Colgate-Palmolive Co 247 0,4% RELX NV 235 0,3% BASF SE 234 0,3% Sanofi 234 0,3% Royal Dutch Shell PLC 233 0,3% Amazon.com Inc 231 0,3% Koninklijke Ahold NV 230 0,3% Cap Gemini SA 225 0,3% Exxon Mobil Corp 217 0,3% Daimler AG 214 0,3% Syngenta AG 213 0,3% Lloyds Banking Group PLC 209 0,3% Sampo Oyj 208 0,3% BHP Billiton PLC 206 0,3% GlaxoSmithKline PLC 205 0,3% Topdanmark A/S 205 0,3% Iberdrola SA 204 0,3% Whirlpool Corp 204 0,3% Engie 201 0,3% Siemens AG 199 0,3% Toyota Motor Corp 195 0,3% Schneider Electric SE 195 0,3% Barclays PLC 191 0,3% Philip Morris International Inc 191 0,3% Glanbia PLC 190 0,3% Genmab A/S 184 0,3% Assa Abloy AB 184 0,3% TOTAL SA 182 0,3% Allianz SE 180 0,3% Taiwan Semiconductor Manufacturing Co Ltd 177 0,3% Deutsche Post AG 176 0,3% Envision Healthcare Holdings Inc 172 0,2% BT Group PLC 171 0,2% SimCorp A/S 171 0,2% Samsung Electronics Co Ltd 170 0,2% NKT Holding A/S 166 0,2% CRH PLC 162 0,2%
3 Cie Generale des Etablissements Michelin 160 0,2% AstraZeneca PLC 155 0,2% Cummins Inc 155 0,2% Medivation Inc 154 0,2% Tencent Holdings Ltd 153 0,2% Mead Johnson Nutrition Co 153 0,2% William Demant Holding A/S 152 0,2% GN Store Nord A/S 152 0,2% Keurig Green Mountain Inc 152 0,2% Verizon Communications Inc 152 0,2% Aberdeen Asset Management PLC 149 0,2% EMC Corp/MA 148 0,2% ExamWorks Group Inc 146 0,2% China Overseas Land & Investment Ltd 143 0,2% CVS Health Corp 140 0,2% Rockwool International A/S 140 0,2% Sydbank A/S 139 0,2% Chr Hansen Holding A/S 130 0,2% Johnson & Johnson 130 0,2% ConocoPhillips 128 0,2% China Mobile Ltd 127 0,2% SSE PLC 127 0,2% Comcast Corp 126 0,2% National Grid PLC 123 0,2% FLSmidth & Co A/S 122 0,2% Intesa Sanpaolo SpA 121 0,2% Largan Precision Co Ltd 121 0,2% Bank of America Corp 121 0,2% Goldman Sachs Group Inc/The 118 0,2% Sunac China Holdings Ltd 118 0,2% HUGO BOSS AG 117 0,2% Randstad Holding NV 117 0,2% Pfizer Inc 115 0,2% Bank Rakyat Indonesia Persero Tbk PT 111 0,2% Tate & Lyle PLC 110 0,2% Henkel AG & Co KGaA 108 0,2% International Business Machines Corp 104 0,1% PetroChina Co Ltd 104 0,1% AIA Group Ltd 103 0,1% China Construction Bank Corp 102 0,1% Viacom Inc 102 0,1% Kasikornbank PCL 100 0,1% Baxter International Inc 100 0,1% Bank of China Ltd 100 0,1% Cisco Systems Inc 99 0,1% Nielsen NV 98 0,1% PepsiCo Inc 97 0,1% Sunny Optical Technology Group Co Ltd 96 0,1% Beijing Enterprises Water Group Ltd 92 0,1% Zoetis Inc 92 0,1% Bayer AG 88 0,1% ICICI Bank Ltd 88 0,1% Mitsubishi UFJ Financial Group Inc 87 0,1% Kellogg Co 87 0,1% Abbott Laboratories 87 0,1% Eicher Motors Ltd 86 0,1% Delphi Automotive PLC 86 0,1% Housing Development Finance Corp Ltd 86 0,1% LyondellBasell Industries NV 85 0,1% Brilliance China Automotive Holdings Ltd 85 0,1%
4 Gazprom PAO 83 0,1% Facebook Inc 83 0,1% QUALCOMM Inc 82 0,1% Larsen & Toubro Ltd 82 0,1% Celgene Corp 82 0,1% Activision Blizzard Inc 78 0,1% Cardinal Health Inc 75 0,1% Broadcom Corp 73 0,1% CNOOC Ltd 73 0,1% Royal Unibrew A/S 72 0,1% China Taiping Insurance Holdings Co Ltd 71 0,1% Hyundai Development Co-Engineering & Construction 70 0,1% Cigna Corp 70 0,1% PTT PCL 70 0,1% Madison Square Garden Co/The 68 0,1% Aon PLC 67 0,1% Dairy Farm International Holdings Ltd 66 0,1% Sembcorp Marine Ltd 66 0,1% Houghton Mifflin Harcourt Co 66 0,1% Norwegian Cruise Line Holdings Ltd 65 0,1% Priceline Group Inc/The 64 0,1% Lowe's Cos Inc 64 0,1% Tyco International Plc 63 0,1% LG Chem Ltd 63 0,1% Lukoil PJSC 61 0,1% Molson Coors Brewing Co 61 0,1% MCB Bank Ltd 61 0,1% CK Hutchison Holdings Ltd 60 0,1% Chevron Corp 60 0,1% FedEx Corp 60 0,1% United Tractors Tbk PT 59 0,1% Mylan NV 58 0,1% China State Construction International Holdings Lt 58 0,1% Bank Danamon Indonesia Tbk PT 58 0,1% Reliance Industries Ltd 57 0,1% CBS Corp 57 0,1% Sumitomo Mitsui Financial Group Inc 57 0,1% Electronic Arts Inc 56 0,1% Aluminum Corp of China Ltd 56 0,1% Siam Commercial Bank PCL/The 56 0,1% Astra International Tbk PT 54 0,1% SoftBank Group Corp 54 0,1% GT Capital Holdings Inc 54 0,1% Advantech Co Ltd 53 0,1% Tung Thih Electronic Co Ltd 53 0,1% Honda Motor Co Ltd 52 0,1% Fila Korea Ltd 52 0,1% China Singyes Solar Technologies Holdings Ltd 51 0,1% Hankook Tire Co Ltd 51 0,1% Inner Mongolia Yitai Coal Co Ltd 51 0,1% St Jude Medical Inc 51 0,1% Matas A/S 50 0,1% Kolao Holdings 50 0,1% Biogen Inc 49 0,1% Merck & Co Inc 49 0,1% Vertex Pharmaceuticals Inc 49 0,1% Alm Brand A/S 49 0,1% Bruker Corp 49 0,1% Lan & Spar Bank 48 0,1% Samsung Heavy Industries Co Ltd 47 0,1%
5 Mizuho Financial Group Inc 47 0,1% Advanced Semiconductor Engineering Inc 47 0,1% Haier Electronics Group Co Ltd 47 0,1% Pakuwon Jati Tbk PT 47 0,1% Nippon Telegraph & Telephone Corp 46 0,1% China Petroleum & Chemical Corp 46 0,1% SK Hynix Inc 46 0,1% SKS Microfinance Ltd 46 0,1% Daewoo Shipbuilding & Marine Engineering Co Ltd 46 0,1% BNP Paribas SA 46 0,1% Lotte Shopping Co Ltd 45 0,1% Hyundai Motor Co 45 0,1% PTT Exploration & Production PCL 45 0,1% Mitsubishi Electric Corp 44 0,1% Persimmon PLC 44 0,1% Huadian Fuxin Energy Corp Ltd 44 0,1% SK Innovation Co Ltd 43 0,1% Metropolitan Bank & Trust Co 43 0,1% ASML Holding NV 43 0,1% Daelim Industrial Co Ltd 42 0,1% United Bank Ltd/Pakistan 42 0,1% Schlumberger Ltd 42 0,1% Hu Lane Associate Inc 41 0,1% UBS Group AG 41 0,1% Dun & Bradstreet Corp/The 41 0,1% Siam Cement PCL/The 41 0,1% Voltas Ltd 41 0,1% Adecco SA 40 0,1% Sound Global Ltd 40 0,1% D/S Norden A/S 40 0,1% JG Summit Holdings Inc 40 0,1% Intuit Inc 40 0,1% Tata Motors Ltd 39 0,1% China Merchants Bank Co Ltd 39 0,1% KDDI Corp 39 0,1% Magnit PJSC 39 0,1% Crompton Greaves Ltd 38 0,1% Skyworks Solutions Inc 38 0,1% Canadian Pacific Railway Ltd 38 0,1% IHS Inc 38 0,1% Land & Houses PCL 38 0,1% Techtronic Industries Co Ltd 38 0,1% Brenntag AG 37 0,1% Weifu High-Technology Group Co Ltd 37 0,1% Societe Generale SA 37 0,1% Japan Tobacco Inc 37 0,1% Range Resources Corp 37 0,1% Takeda Pharmaceutical Co Ltd 36 0,1% Canon Inc 36 0,1% Industria de Diseno Textil SA 36 0,1% AAC Technologies Holdings Inc 36 0,1% Royal Bank of Canada 36 0,1% Beijing Jingneng Clean Energy Co Ltd 36 0,1% Walgreens Boots Alliance Inc 35 0,1% Fortune Brands Home & Security Inc 35 0,1% Sberbank of Russia 34 0,0% Cheung Kong Property Holdings Ltd 34 0,0% Publicis Groupe SA 34 0,0% Samchuly Bicycle Co Ltd 34 0,0% Oil & Gas Development Co Ltd 34 0,0%
6 Murata Manufacturing Co Ltd 34 0,0% FUJIFILM Holdings Corp 33 0,0% Baidu Inc 33 0,0% Gilead Sciences Inc 33 0,0% Dentsu Inc 33 0,0% Novatek Microelectronics Corp 33 0,0% BEC World PCL 32 0,0% Nissan Motor Co Ltd 32 0,0% Semen Indonesia Persero Tbk PT 31 0,0% Williams Cos Inc/The 31 0,0% TUI AG 31 0,0% McDonald's Corp 31 0,0% Hitachi Ltd 31 0,0% Seven & i Holdings Co Ltd 31 0,0% Yanzhou Coal Mining Co Ltd 31 0,0% American Airlines Group Inc 31 0,0% Mitsubishi Corp 31 0,0% Skandinaviska Enskilda Banken AB 30 0,0% NOVATEK OAO 30 0,0% Valeant Pharmaceuticals International Inc 30 0,0% Michaels Cos Inc/The 30 0,0% ITV PLC 30 0,0% Yara International ASA 30 0,0% Noble Energy Inc 30 0,0% Panasonic Corp 30 0,0% Astellas Pharma Inc 29 0,0% SKF AB 29 0,0% Sitoy Group Holdings Ltd 29 0,0% Surgutneftegas OAO 29 0,0% Monsanto Co 29 0,0% East Japan Railway Co 29 0,0% Shire PLC 29 0,0% Sony Corp 29 0,0% NTT DOCOMO Inc 28 0,0% Tata Steel Ltd 28 0,0% Filinvest Land Inc 28 0,0% Evonik Industries AG 28 0,0% Infineon Technologies AG 28 0,0% Indocement Tunggal Prakarsa Tbk PT 28 0,0% easyjet PLC 27 0,0% Kia Motors Corp 27 0,0% Powszechna Kasa Oszczednosci Bank Polski SA 27 0,0% Tokio Marine Holdings Inc 27 0,0% Edison International 27 0,0% GRUH Finance Ltd 27 0,0% Mitsubishi Estate Co Ltd 27 0,0% MMC Norilsk Nickel PJSC 27 0,0% American International Group Inc 27 0,0% Powszechny Zaklad Ubezpieczen SA 27 0,0% Alliance Global Group Inc 26 0,0% Ossur HF 26 0,0% NEC Corp 26 0,0% DTE Energy Co 26 0,0% Guangzhou Automobile Group Co Ltd 26 0,0% Aramark 26 0,0% Bank Pekao SA 26 0,0% Ezion Holdings Ltd 26 0,0% Mitsui Fudosan Co Ltd 26 0,0% Central Japan Railway Co 26 0,0% Yuzhou Properties Co Ltd 25 0,0%
7 Sandvik AB 25 0,0% Shin-Etsu Chemical Co Ltd 25 0,0% Merck KGaA 25 0,0% Prudential PLC 25 0,0% Tech Mahindra Ltd 25 0,0% Aetna Inc 25 0,0% Express Scripts Holding Co 25 0,0% Sinopec Kantons Holdings Ltd 25 0,0% Denso Corp 25 0,0% HCA Holdings Inc 24 0,0% Nomura Holdings Inc 24 0,0% VTech Holdings Ltd 24 0,0% Suprema Inc 24 0,0% MetLife Inc 24 0,0% Sun Life Financial Inc 24 0,0% Keyence Corp 24 0,0% Konica Minolta Inc 24 0,0% Perrigo Co PLC 24 0,0% Industrivarden AB 24 0,0% AT&T Inc 23 0,0% Rio Tinto PLC 23 0,0% Kao Corp 23 0,0% Anthem Inc 23 0,0% Atlas Copco AB 23 0,0% Community Health Systems Inc 23 0,0% Kroger Co/The 23 0,0% Mitsui & Co Ltd 23 0,0% Summarecon Agung Tbk PT 23 0,0% Kimberly-Clark Corp 23 0,0% Prudential Financial Inc 23 0,0% Marathon Petroleum Corp 23 0,0% Fuji Heavy Industries Ltd 23 0,0% Foot Locker Inc 22 0,0% PACCAR Inc 22 0,0% Halliburton Co 22 0,0% Fast Retailing Co Ltd 22 0,0% Tatneft OAO 22 0,0% Rockwell Automation Inc 22 0,0% Fifth Third Bancorp 21 0,0% Toronto-Dominion Bank/The 21 0,0% Consolidated Edison Inc 21 0,0% Microlife Corp 21 0,0% PG&E Corp 21 0,0% Lam Research Corp 21 0,0% Dai-ichi Life Insurance Co Ltd/The 20 0,0% Bank of Montreal 20 0,0% Shenzhen Chiwan Wharf Holdings Ltd 20 0,0% Mohawk Industries Inc 20 0,0% HollyFrontier Corp 20 0,0% ManpowerGroup Inc 20 0,0% Nippon Steel & Sumitomo Metal Corp 20 0,0% Santander Consumer USA Holdings Inc 20 0,0% Keppel Corp Ltd 20 0,0% Øvrige aktier ,2% Børsnoterede aktier i alt ,4% Investeringsforeninger Navn Markedsværdi (mio. kr.) Porteføljevægt Carnegie WorldWide Globale Aktier 291 0,4% Wellington Management PLC - Global Healthcare 157 0,2%
8 Franklin Templeton Inv. Funds - Templeton Asia 116 0,2% Nykredit Invest Engros - Vækstlande 108 0,2% Maj Invest Danske Aktier 104 0,1% Carnegie WorldWide / Asien 81 0,1% Skagen Global Fund 48 0,1% Sparinvest Value Aktier 45 0,1% Sydinvest BRIK Akkumulerende 39 0,1% Franklin Templeton Inv. Funds - Templeton China 39 0,1% Magna Umbrella Fund PLC - Eastern European Fund 34 0,0% Handelsinvest Norden 24 0,0% SYDINVEST Latinamerika 22 0,0% Øvrige investeringsforeninger 43 0,1% Investeringsforeninger i alt ,6% Markedsværdi i alt ,0% Opgjort inklusiv beholdninger i markedsrente Kun beholdninger større end 20 mio. kr. er vist
9 PFA Pension, unoterede kapitalandele Beholdningsliste, ultimo juni 2015 * Danske unoterede kapitalandele Navn Markedsværdi (mio. kr.) Porteføljevægt Carlsberg Byen 401 2,4% Axeltorv ,0% Sparinvest Property Fund K/S 221 1,3% BankInvest Private Equity New Markets II K/S 166 1,0% Ejendomsselskabet Portland Towers 130 0,8% Refshaleøens Ejendomsselskab A/S 128 0,0% P/S Borgen Shopping 114 0,7% Copenhagen Infrastructure II K/S 78 0,5% Vækstfonden 77 0,4% Ejendomsselskabet Norden IV K/S 66 0,4% Polaris Private Equity III K/S 66 0,4% Kirk & Thorsen Invest 66 0,4% Erhvervsinvest II K/S 58 0,3% Polaris Private Equity II K/S 55 0,3% Axcel IV K/S 54 0,3% SE Blue Equity I K/S 51 0,3% Erhvervsinvest III K/S 37 0,2% Ejendomsselskabet Norden I K/S 32 0,2% Dansk Vækstkapital K/S 24 0,1% Dong Energy - - Irish Forestry - - PF I A/S - - SE Blue Renewables K/S - - Welltec International ApS - - Øvrige unoterede 52 0,3% Unoterede danske kapitalandele i alt ,3% * Af konkurrencemæssige hensyn oplyses markedsværdien af enkelte direkte investeringer i unoterede kapitalandele ikke. Udenlandske unoterede kapitalandele Navn Markedsværdi (mio. kr.) Porteføljevægt WELPUT - West End of London Property Unit Trust ,9% Goldman Sachs International Infrastructure Partners ,0% Prime Property Fund LLC 734 4,3% Jamestown Premier Property Fund L.P ,0% Morgan Stanley Infrastructure Partners 635 3,7% PATRIZIA Res Publica Hessen II 624 3,7% Tishman Speyer European Core Fund 602 3,5% LogiReal Holding AB 537 3,1% Barclays Integrated Infrastructure Fund L.P ,4% 33 Holborn Property 399 2,3% Horsley Bridge IX L.P ,0% ProLogis European Properties Fund II 219 1,3% Nordic Capital VII Alpha, L.P ,2% Resolution Real Estate Fund IV 198 1,2% Morgan Stanley MSREF VIII Global 182 1,1% AXA Secondary Fund V L.P ,0% Horsley Bridge VIII L.P ,0% NREP Logistics AB 163 1,0% PAI Europe V, L.P ,9% Horsley Bridge International IV L.P ,9% Partners Group Secondary 2008 L.P ,9% ASF VI 134 0,8% Horsley Bridge International V L.P ,8% Nordic Mezzanine Fund III, L.P ,7%
10 Horsley Bridge International III L.P ,6% J.P. Morgan Real Estate Income and Growth Fund 101 0,6% Hutton Collins Capital Partners III L.P ,6% Carlyle Realty Foreign investores VII-B L.P. 96 0,6% Blackstone Strategic Partners Fund IV LP 87 0,5% Schroder Private Equity Fund of Funds II PLC 84 0,5% Apollo VIII 82 0,5% Herkules Private Equity III L.P. 73 0,4% Barclays European Infrastructure Fund L.P. 69 0,4% Blackstone Strategic Partners Fund III LP 68 0,4% Coller International Partners V L.P. 61 0,4% Gaillon SCA 57 0,3% Paul Capital Healthcare III, L.P. 54 0,3% AXA Secondary Fund IV L.P. 54 0,3% Partners Group Secondary 2006 L.P. 52 0,3% Crown Private Equity PLC 49 0,3% European Strategic Partners II 45 0,3% Moorfield Real Estate Fund III "Partners Club" L.P. 42 0,2% Euro Choice II L.P. 42 0,2% European Fund Investments II L.P. 42 0,2% Moorfield Real Estate Fund III "B" L.P. 42 0,2% Danske Private Equity Partners IV, USD 40 0,2% Danske Private Equity Partners IV, EUR 36 0,2% Pillar Retail Europark Fund 32 0,2% Warburg-Henderson Deustchland Fund I 29 0,2% VCFA Venture Partners V L.P. 29 0,2% PAI Europe IV L.P. 25 0,1% Nordic Mezzanine Fund II, L.P. 24 0,1% Altor Fund IV AB 23 0,1% Øvrige unoterede 91 0,5% Unoterede udenlandske kapitalandele i alt ,7% Unoterede danske og udl. kapitalandele i alt ,0% Opgjort inklusiv beholdninger i markedsrente Kun beholdninger større end 20 mio. kr. er vist
PFA Pension, børsnoterede aktier
PFA Pension, børsnoterede aktier Beholdningsliste, ultimo december 2014 Navn Markedsværdi (mio. kr.) Porteføljevægt Novo Nordisk A/S 4.249 7,1% AP Møller - Mærsk A/S 2.052 3,4% Danske Bank A/S 1.526 2,6%
PFA Pension, børsnoterede aktier
PFA Pension, børsnoterede aktier Beholdningsliste, ultimo juni 2013 Navn Markedsværdi (mio. kr.) Porteføljevægt Novo Nordisk A/S 1.925 5,2% AP Møller - Mærsk A/S 780 2,1% Walt Disney Co/The 640 1,7% Visa
PFA Pension, børsnoterede aktier
PFA Pension, børsnoterede aktier Beholdningsliste, ultimo december 2013 Navn Markedsværdi (mio. kr.) Porteføljevægt Novo Nordisk A/S 3.024 6,4% AP Moeller - Maersk A/S 1.524 3,2% Walt Disney Co/The 844
PFA Pension, børsnoterede aktier
PFA Pension, børsnoterede aktier Beholdningsliste, ultimo december 2015 Navn Markedsværdi (mio. kr.) Porteføljevægt Novo Nordisk A/S 4.166 6,4% Danske Bank A/S 1.202 1,8% Pandora A/S 1.151 1,8% Alphabet
Global Top 100 Companies by market capitalisation
www.pwc.co.uk Companies by market capitalisation 31 March 2014 update IPO Centre An IPO Centre publication Market Cap ($) No. of companies Market Cap ($) Introduction In this brief report we have ranked
Global Top 100 Companies by market capitalisation
www.pwc.co.uk Companies by market capitalisation 31 March 2015 update An IPO Centre publication Contents Section 1 Highlights and trends 3 Section 2 Year-on-year comparison: 2015 vs. 2014 10 Section 3
Office of Communications for Enrollment Management
Office of Communications for Enrollment Management WHO WE ARE & WHAT WE DO We call ourselves OCEM for short. OFFICE OF COMMUNICATIONS FOR ENROLLMENT MANAGEMENT UNIVERSITY OF ILLINOIS WE SUPPORT... Admissions
Investment Type Security Name Legal Maturity Date Coupon/Discount Rate Par Value Original Cost
Asset Backed ALLY AUTO RECEIVABLES TRUST 1/16/2018 0.85 9,413,849 9,408,657 Asset Backed AMERICAN EXPRESS CREDIT ACCOUN 5/15/2019 0.98 25,720,000 25,762,046 Asset Backed AMERICAN EXPRESS CREDIT ACCOUN
Dow Jones Sustainability Indexes. A cooperation of Dow Jones Indexes and SAM
Dow Jones Sustainability Indexes A cooperation of Dow Jones Indexes and SAM Content Key Facts Assessment 2011 Dow Jones Sustainability World Index Dow Jones Sustainability Europe Index Dow Jones Sustainability
Diversified International Separate Account As of December 31, 2015
AUSTRALIA MACQUARIE GROUP LTD 370,507 $ 22,129,855 0.94 % CALTEX AUSTRALIA LIMITED 652,544 $ 17,808,309 0.75 % CSL LTD/AUSTRALIA 174,074 $ 13,250,404 0.56 % COMMONWEALTH BANK OF A 202,864 $ 12,522,171
TRANSPARENCY IN CORPORATE REPORTING
TRANSPARENCY IN CORPORATE REPORTING Assessing the World s Largest Companies Transparency International is a global movement with one vision: a world in which government, business, civil society and the
Översikt Bull & Bear-certifikat
Underliggande Bull-certifikat Bear-certifikat Europeiska Index 3x 5x 8x 10x 12x 15x 18x -3x -5x -8x -10x -12x -15x -18x OMX Stockholm 30 Index DE000VS0AAN5 DE000VS0AAQ8 DE000VS0AAS4 DE000VS0AAU0 DE000VS0AAW6
Frederiksberg Kommune pr. : 29-02-2016
Frederiksberg Kommune pr. : 29-02-2016 ISIN Instrument Papirnavn Nominel Markedsværdi Land Modelportefølje Sektor US00287Y1091 Aktier AbbVie 633,1328 237.356,53 USA Nordea Invest Engros International Aktier
The Scientific Beta Report
The Scientific Beta Report SCIU United States SCID Europe SCIX Asia ex-japan SCIJ Japan Don t just be smart. Be Scientific. OVERVIEW The ETFs are a family of funds that provide core equity exposure to
DJSI 2015 Review Results. September 2015
DJSI 2015 Review Results September 2015 Content Key Facts Assessment 2015 Overview of global and regional review results Additional Resources 2 Key Facts Dow Jones Sustainability Indices (DJSI) Overview
Votes Cast 5.127 Number of meetings 362
Table 1. Statistics Votes Cast 5.127 Number of meetings 362 For 4.563 With management 4.618 Withhold 42 Against management 509 Abstain 2 Against 513 Other 7 Total 5.127 Total 5.127 In 22 (58%) out of 38
Regional Grocer Wegmans Unseats Amazon To Claim Top Corporate Reputation Ranking
Press Contact: Corporate Communications The Harris Poll 212-539-9600 [email protected] Regional Grocer Wegmans Unseats Amazon To Claim Top Corporate Reputation Ranking Wegmans Food Markets,
The FutureBrand Index. Measuring what matters for future success
The FutureBrand Index Measuring what matters for future success 100 What s inside? 1.0 Introduction 2.0 Our methodology 3.0 Global top 100 rankings 4.0 What is a future brand and why does it matter? 5.0
METHODOLOGIE REPORT OF REPORTS. Review of 2012 Fortune 100 Corporate Reports
METHODOLOGIE REPORT OF REPORTS Review of 212 Fortune 1 Corporate Reports About the report Methodologie annually looks at the reporting trends among the Fortune 1 companies by reviewing annual reports and
Spain s Most Attractive Employers 2016 STUDENTS
Spain s Most Attractive Employers 2016 STUDENTS 2 THE MOST ATTRACTIVE EMPLOYERS 2016 Where do you rank? Today s businesses operate in a highly competitive employment landscape, and you can gain a valuable
EXAMINING THE CRACKS IN THE CEILING: A Survey of Corporate Diversity Practices of the S&P 100. March 2015 Supplement
EXAMINING THE CRACKS IN THE CEILING: A Survey of Corporate Diversity Practices of the S&P March 21 Supplement EXAMINING THE CRACKS IN THE CEILING: A Survey of Corporate Diversity Practices of the S&P We
2015 Global CSR RepTrak 100
REPUTATION LEADERS NETWORK 2015 Global CSR RepTrak 100 The Global CSR Reputation Ranking of the 100 Most Reputable Firms by the General Public across 15 Countries REPUTATION LEADERS NETWORK Agenda About
88% Top 50 Fortune 500 Companies
Brad Sears Nan D. Hunter Christy Mallory APRIL 2013 Sexual Orientation and Gender Identity Non-Discrimination Policies of the Top 50 Federal Contractors and the Top 50 Fortune 500 companies, 2011 As of
Texas Top Tier. The Largest Companies Headquartered in Texas
Texas Top Tier The Largest Companies Headquartered in Texas Office of the Governor Economic Development and Tourism 2013 Contents Largest Public Companies.. Largest Private Companies Largest Corporate
Texas Top Tier. The Largest Companies Headquartered in Texas
Texas Top Tier The Largest Companies Headquartered in Texas Office of the Governor Economic Development and Tourism 2014 Largest Public Companies.. Largest Private Companies Largest Corporate Subsidiaries..
9601 United-Cash Management Pool (As at June 30, 2016)
9601 United-Cash Management Pool (As at June 30, 2016) 1 Canadian Treasury Bill 28Jul16 Tbill Short Term Investments 6.1% 2 Canadian Treasury Bill 17Nov16 Tbill Short Term Investments 6.1% 3 Caisse Central
Organizational Capital, R&D Assets, and Outsourcing
Organizational Capital, R&D Assets, and Outsourcing Wendy Li 2013 Federal Committee on Statistical Methodology Research Conference Bureau of Economic Analysis November 5, 2013 Motivation and Challenge
DAVOS, SWITZERLAND, (embargoed until 2.01 a.m. EST) January 29, 2011
Media Release Corporate Knights Global 100 Most Sustainable Corporations Announced in Davos List of Global Good Guys beating benchmark by substantial margin DAVOS, SWITZERLAND, (embargoed until 2.01 a.m.
4 th Quarter 2015 TWEEDY, BROWNE FUND INC.
One Station Place Stamford, CT 06902 Tel 800.432.4789 Fax 203.703.0726 www.tweedy.com 4 th Quarter 2015 The Funds produced modestly positive returns in the 4 th quarter of 2015, capping off what was in
How To Manage Reputation
2013 Global CSR RepTrak 100 Top Line Report The Best CSR in the World Reputation study with Consumers in 15 Countries RepTrak is a registered trademark of Reputation Institute. Copyright 2013 Reputation
ERSTE RESPONSIBLE STOCK GLOBAL - Securities (Stand vom 6/26/13) - Table Setting: Responsible
ERSTE RESPONSIBLE STOCK GLOBAL - Securities (Stand vom 6/26/13) - Table Setting: Responsible INSTRUMENT BEZ1 KURZBEZ ISIN ANTEIL_DP_FV Starbucks STARBUCKS CORP. Procter & Gamble Co., The Time Warner Mondelez
Semi-annual review Euronext-Vigeo index World 120
Semi-annual review Euronext-Vigeo index World 120 31 May 2013 Index Announcement Issue Date: Friday 17 May 2013 Effective Date: Monday 3 June 2013 Announcement No: 2013-083 Indices: Subject: Index Euronext
Why Choose Dundas Dashboard
Why Choose Dundas Dashboard Dundas Data Visualization, Inc. 250 Ferrand Drive, Suite 500 Toronto, ON Canada M3C 3G8 1.800.463.1492 1.416.467.9100 [email protected] www.dundas.com Table of Contents 1.0 Introduction
www.pwc.de Top 100 companies Europe and Germany November 2014 PwC Capital Markets
www.pwc.de Top 100 companies Europe and Germany Capital s Europe Top 100 from 2008 to 2014 ed by market capitalisation Slide 2 Summary In this brief report we have identified the top 100 listed companies
a. Average annual expense ratios* b. Percentage of all Vanguard funds outperforming the average returns of their peer groups**
IMPORTANT: Investment involves risk, including the loss of principal. Investors are advised to consider their own investment objectives and circumstances in determining the suitability of an investment
Clarica MVP Segregated Funds
Clarica MVP Segregated Funds 2008 Semi-Annual Financial Statements as at June 30, 2008 managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada A look inside Overview...1 Equity Funds
2015 Employment Report
Corporate Connections. Career Results. 2015 Employment Report www.smeal.psu.edu/mba Corporate Connections. Career Results. 1 Table of Contents Class of 2015 Full-Time Employment Class of 2016 Internship
GLOBAL M&A MARKET REVIEW FINANCIAL RANKINGS
GLOBAL M&A MARKET REVIEW FINANCIAL INGS 1st 3Q 2015 1st 3Q 2015 GLOBAL M&A FINANCIAL ADVISORY INGS CONTENTS 1. Introduction 2. Global M&A Heat Map 3. Global M&A Regional Review 4. Global M&A League Tables
Fund commentary. John Hancock Multifactor ETFs Q1 2016
Fund commentary John Hancock Multifactor ETFs Seek: To pursue results that closely correspond, before fees and expenses, with the indexes Use for: Core or targeted equity exposure MANAGED BY Lukas J. Smart,
MITON GLOBAL EQUITY FUND
for the period ended 30 September 2015 MITON GLOBAL EQUITY FUND Contents Page Number Investment Objective 2 Manager s Investment Report* 2 Net Asset Value per Unit, Distribution Information and Comparative
(HK$) (HK$) (HK$) Hang Seng Index Full Rate 65,300 /lot 52,250 /lot 52,250 /lot Spread Rate 13,100 /spread 10,450 /spread 10,450 /spread
編 號 Ref. No.: DCRM/HKCC/129/2016 日 期 Date: 28/06/2016 香 港 期 貨 結 算 有 限 公 司 ( 香 港 交 易 及 結 算 所 有 限 公 司 全 資 附 屬 公 司 ) HKFE CLEARING CORPORATION LIMITED (A wholly-owned subsidiary of Hong Kong Exchanges and
GLOBAL M&A MARKET REVIEW
GLOBAL M&A MARKET REVIEW FINANCIAL INGS 1H 2015 1H 2015 GLOBAL M&A FINANCIAL ADVISORY INGS CONTENTS 1. Introduction 2. Global M&A Heat Map 3. Global M&A Regional Review 4. Global M&A League Tables 5. Americas
O Shares ETFs: Smart Rules for Investing. in US, Europe and Asia Large Cap Stocks. Chairman and Investor on ABC s Shark Tank.
O Shares ETFs: Smart Rules for Investing Kevin O Leary Chairman and Investor on ABC s Shark Tank in US, Europe and Asia Large Cap Stocks January 2016 Why O Shares? We developed O Shares Investments ETFs,
HSBC Exchange Traded Funds
HSBC Exchange Traded Funds Factsheet Book May 2014 For UK Professional Clients Only Content Developed Markets Regional Exposure HSBC MSCI PACIFIC EX JAPAN UCITS ETF 1 HSBC MSCI EUROPE UCITS ETF 3 HSBC
MPEG-4 Visual Patent Portfolio License Briefing*
MPEG-4 Visual Patent Portfolio License Briefing* V03/18/16 *This presentation is for information purposes only. Actual license agreements will provide the only definitive and reliable statement of license
The FCO Cockpit Global Bubble Status Report. Peter Cauwels & Didier Sornette Chair of Entrepreneurial Risk. September 1st, 2015
Global Bubble Status Report Peter Cauwels & Didier Sornette Chair of Entrepreneurial Risk September 1st, 2015 Main conclusion of this report: So far, 2015 has shown a notable synchronicity in financial
AVC Patent Portfolio License Briefing*
AVC Patent Portfolio License Briefing* V05/02/16 *This presentation is for information purposes only. Actual license agreements will provide the only definitive and reliable statement of license terms.
F&C High Income Fund Interim Report and Financial Statements For the period ended: 31.10.2015
Interim Report and Financial Statements For the period ended: 31.10.2015 Contents Page 1 Directory 2 Authorised Status* 3 Certification of Financial Statements by Directors of the Manager* 4 Manager's
November 30, 2014 SEMI-ANNUAL REPORT
SEMI-ANNUAL REPORT SEI Institutional Investments Trust Large Cap Fund Large Cap Diversified Alpha Fund Large Cap Disciplined Equity Fund Large Cap Index Fund S&P 500 Index Fund Extended Market Index Fund
2 nd Quarter 2016 TWEEDY, BROWNE FUND INC.
One Station Place Stamford, CT 06902 Tel 800.432.4789 Fax 203.703.0726 www.tweedy.com 2 nd Quarter 2016 Having regained their footing in mid-february, global equity markets continued to advance during
Oil & Gas Business Development (BD) Toolkit - West Africa
Brochure More information from http://www.researchandmarkets.com/reports/1576593/ Oil & Gas Business Development (BD) Toolkit - West Africa Description: The BD Toolkit West Africa Report is a must-have
Barrick Gold Corp 293,566 Mondi 365,029
Newcastle University Endowment Asset Investments Valuation as at 31/07/2014 Funds managed by Majedie Asset Management Super Sector Issuer Market Value ( ) Basic Materials Anglo American 120,037 Barrick
Measuring the Transparency of Environmental Sustainability Reporting Through Websites of Fortune 50 Corporations
Measuring the Transparency of Sustainability Reporting Through Websites of Fortune 50 Corporations Brad Rawlins, Brigham Young University Katie Paine, KDPaine & Partners Peter Kowalski, KDPaine & Partners
FY 2015-16. 25-Feb-2016 Fidelity Management & Research Ltd, USA 25-Feb-2016 EastSprings 29-Feb-2016 Artisan Partners
Date Scheduled for next week Type 12-Feb-2016 Change Global Investment 12-Feb-2016 UBS Investor group - US 15-Feb-2016 - Palestra Capital - Kevin Feng 16-Feb-2016 Edelweiss AGF Asset Management Asia Ltd
2010 2011 Reputation Winners and Losers
0 0 Reputation Winners and Losers Ethics and Openness Overtake Viability in Shaping Public Perceptions What a difference a year makes. With oil spills, product recalls, and mortgage fraud dominating headlines
THOMSON REUTERS TOP 100 GLOBAL INNOVATORS HONORING THE WORLD LEADERS IN INNOVATION
THOMSON REUTERS TOP 100 GLOBAL INNOVATORS HONORING THE WORLD LEADERS IN INNOVATION FINDINGS AND METHODOLOGY 2011 INNOVATION DISTINGUISHES BETWEEN A LEADER AND A FOLLOWER. -Steve Jobs, Apple, Inc. 2 THOMSON
IOOF QuantPlus. International Equities Portfolio NZD. Quarterly update
IOOF QuantPlus NZD Quarterly update For the period ended 31 March 2016 Contents Overview 2 Portfolio at glance 3 Performance 4 Asset allocation 6 Overview At IOOF, we have been helping Australians secure
Debt Issuance Programs
Debt Issuance Programs Debt Issuance Programs are covering several issues on a roll over basis. The contractual program amount of such a program may not necessarily be identical with the current utilization.
PLATINUM INTERNATIONAL FUND ARSN 089 528 30
PLATINUM INTERNATIONAL FUND ARSN 089 528 30 Portfolio Value $9.69 bn Entry fee Nil Fund commenced 30 April 1995 Exit fee Nil Minimum investment A$20,000 or NZ$25,000 Management Expense Ratio/ 1.54% per
List of Top 100 BSE and NSE Listed companies arranged by Sector
List of Top 100 BSE and NSE Listed companies arranged by Sector Company Name Industry NSE 100 / BSE 100 Already Report? Level of GRI Latest Reporting Report Ashok Leyland Ltd. Automobiles NSE 100 / BSE-100
Employment Report 2013
mba Employment Report 2013 2012 MBA Graduates business school barcelona Where business people grow Index MBA participant profile.... 4 EADA Careers.... 6 Employment statistics 2013 (2012 Graduates)...
MBA Internship. Guide For Employers. merage.uci.edu/go/recruit
MBA Internship Guide For Employers merage.uci.edu/go/recruit What is an MBA Internship? a full-time summer job a part-time job during school a project (short or long) a training program for future employees
Exchange-Traded Funds Portfolio Allocation
Exchange-Traded Funds Portfolio Allocation Research by: Finance Class 684 Spring 2007 Objective: To construct a portfolio consisting of a combination of exchange-traded funds (ETFs) that will maintain
AIA Semi-Annual Funds Report 2013
AIA Semi-Annual Funds Report 2013 For Policyholders aia.com.sg 1 CONTENTS CEO MESSAGE 2 INTRODUCTION 3 FUND PERFORMANCE SUMMARY 4 PORTFOLIO STATEMENT AIA Acorns of Asia Fund 6 AIA Emerging Markets Balanced/Equity
U.S. Stock Focus List
U. S. M A R K E T I N S I G H T U.S. Stock Focus List If you re looking to include individual stocks in your portfolio, consider those on the Edward Jones Stock Focus List. Focus on the Long Term We believe
Global Reputation Pulse 2010. U.S. Top-Line Summary
Global Reputation Pulse 2010 U.S. Top-Line Summary Reputations of the Largest Companies in the U.S. Copyright 2010 Reputation Institute. All rights reserved. 2 How are Corporate Reputations Measured? Reputation
MBA EMPLOYER OF CHOICE RANKING 2015
MBA WORLD SUMMIT 0 A Global Initiative in Search of Talent th - 7 th March 0 Barcelona, Spain MBA EMPLOYER OF CHOICE RANKING 0 Each year we survey the opinion leaders in the top segment of the global MBA
Employment Report 2014
Employment Report 2014 2013/14 Class Profile The Department of Finance is home to 250 Masters students across five degree programmes: MSc Finance (Full-time), MSc Finance and Economics, MSc Finance and
Wells Fargo Bank, N.A. Collective Investment Funds. annual report
Wells Fargo Bank, N.A. Collective Investment Funds 2014 annual report Financial Statements (With Independent Auditors Report Thereon) Table of Contents Page Independent Auditors Report 1 Statement of Assets
CR s 100 Best Corporate Citizens 2015
The 00 Best CR s 00 Best Citizens 0 Company Symbol Weighted Environment Average.%.%.0%.%.0%.%.0% Microsoft Corporation MSFT. Hasbro, Inc. HAS. Johnson & Johnson JNJ. 0 0 Xerox Corp XRX 0. Sigma-Aldrich
BlackRock Asset Management Deutschland AG Semi-annual report as at 31 October 2014 for the investment fund
BlackRock Asset Management Deutschland AG Semi-annual report as at 31 October 2014 for the investment fund ishares Dow Jones Global Titans 50 UCITS ETF (DE) Contents Notice and note on licences Additional
The list of licensed financial institutions
City Banks and Trust Banks Total 35 banks Business category The name of a financial City Banks Mizuho Bank,Ltd. Sumitomo Mitsui Banking Total 4 banks Corporation The Bank of Tokyo- Mitsubishi UFJ,Ltd.
Media Prominence: A Leading Indicator of Brand Value How Effective Public Relations Contributes to Brand
Media Prominence: A Leading Indicator of Brand Value How Effective Public Relations Contributes to Brand Introduction: John Grebe, who established Dow s Physical Research Lab, once said If you cannot measure
Performance Attribution Analysis of investment performance.
Performance Attribution Analysis of investment performance. 1 1 Performance Analysis Performance Attribution Portfolio attribution is an integral component of the investment value chain for the portfolio
