Sumitomo Mitsui Trust Group, Inc. Q2 2020 Filing

Filed July 27, 2020

Portfolio Value

$141.6B

Holdings

1,096

Report Date

Q2 2020

Filing Type

13F-HR

All Holdings (1,096 positions)

#StockSharesValue% PortfolioType
501
TDOCTELADOC HEALTH INC
381,694$72.8M0.05%
502
TSNTYSON FOODS INC-CL A
1,214,961$72.5M0.05%
503
JKHYJACK HENRY & ASSOCIATES INC
389,945$71.8M0.05%
504
FCXFREEPORT-MCMORAN INC
6,156,600$71.2M0.05%
505
NTRSNORTHERN TRUST CORP
893,480$70.9M0.05%
506
CERSCERUS CORP
10,726,886$70.8M0.05%
507
GIB/ACGI INC
1,126,938$70.8M0.05%
508
FRCBFIRST REPUBLIC BANK/CA
660,124$70.0M0.05%
509
XYLXYLEM INC
1,075,135$69.8M0.05%
510
NSTGEURNANOSTRING TECHNOLOGIES INC
2,367,706$69.5M0.05%
511
CTLEURCENTURYLINK INC
6,921,482$69.4M0.05%
512
PAYCPAYCOM SOFTWARE INC
224,062$69.4M0.05%
513
OMCOMNICOM GROUP
1,270,623$69.4M0.05%
514
MRNAMODERNA INC
1,072,829$68.9M0.05%
515
TFXTELEFLEX INC
189,191$68.9M0.05%
516
HDBHDFC BANK LTD-ADR
1,496,251$68.0M0.05%
517
XRAYDENTSPLY SIRONA INC
1,542,488$68.0M0.05%
518
PXDEURPIONEER NATURAL RESOURCES CO
692,455$67.7M0.05%
519
QRVOQORVO INC
611,233$67.6M0.05%
520
CPBCAMPBELL SOUP CO
1,370,737$67.6M0.05%
521
WPCWP CAREY INC
992,003$67.1M0.05%
522
OXYOCCIDENTAL PETROLEUM CORP
3,649,181$66.8M0.05%
523
CDWCDW CORP/DE
574,669$66.8M0.05%
524
KSUEURKANSAS CITY SOUTHERN
445,703$66.5M0.05%
525
CUBECUBESMART
2,456,702$66.3M0.05%
526
DFSEURDISCOVER FINANCIAL SERVICES
1,323,708$66.3M0.05%
527
DOVDOVER CORP
686,277$66.3M0.05%
528
CBRECBRE GROUP INC - A
1,460,889$66.1M0.05%
529
MASMASCO CORP
1,310,886$65.6M0.05%
530
TTDTRADE DESK INC/THE -CLASS A
161,390$65.6M0.05%
531
EDUNEW ORIENTAL EDUCATIO-SP ADR
502,861$65.5M0.05%
532
HTAEURHEALTHCARE TRUST OF AME-CL A
2,489,211$65.2M0.05%
533
FTSFORTIS INC
1,719,114$65.2M0.05%
534
HRLHORMEL FOODS CORP
1,351,918$64.9M0.05%
535
HASHASBRO INC
862,423$64.6M0.05%
536
EXPDEXPEDITORS INTL WASH INC
843,676$64.2M0.05%
537
DRIDARDEN RESTAURANTS INC
839,755$63.6M0.04%
538
DPZDOMINO'S PIZZA INC
171,903$63.5M0.04%
539
IEMGISHARES CORE MSCI EMERGING
1,333,477$63.5M0.04%
540
ABGAMERISOURCEBERGEN CORP
628,027$63.3M0.04%
541
KKRKKR & CO INC
2,047,310$63.2M0.04%
542
TIFEURTIFFANY & CO
518,184$63.2M0.04%
543
MGAMAGNA INTERNATIONAL INC
1,420,364$63.1M0.04%
544
TSCOTRACTOR SUPPLY COMPANY
478,501$63.1M0.04%
545
MTLSMATERIALISE NV-ADR
2,772,169$62.5M0.04%
546
IPINTERNATIONAL PAPER CO
1,761,709$62.0M0.04%
547
SRPTSAREPTA THERAPEUTICS INC
383,591$61.5M0.04%
548
W3UWESTERN UNION CO
2,843,168$61.5M0.04%
549
IBKRINTERACTIVE BROKERS GRO-CL A
1,469,839$61.4M0.04%
550
VMCVULCAN MATERIALS CO
529,316$61.3M0.04%
551
MPTMEDICAL PROPERTIES TRUST INC
3,228,970$60.7M0.04%
552
PODDINSULET CORP
311,905$60.6M0.04%
553
TSMTAIWAN SEMICONDUCTOR-SP ADR
1,067,246$60.6M0.04%
554
MTBM & T BANK CORP
577,777$60.1M0.04%
555
YUMCYUM CHINA HOLDINGS INC
1,249,379$60.1M0.04%
556
KMXCARMAX INC
669,873$60.0M0.04%
557
CINFCINCINNATI FINANCIAL CORP
932,592$59.7M0.04%
558
BKIEURBLACK KNIGHT INC
822,706$59.7M0.04%
559
LVSLAS VEGAS SANDS CORP
1,300,093$59.2M0.04%
560
AXIACENTRAIS ELETRICAS BR-SP ADR
10,326$59.0M0.04%
561
FDSFACTSET RESEARCH SYSTEMS INC
179,091$58.8M0.04%
562
EPAMEPAM SYSTEMS INC
232,112$58.5M0.04%
563
WDCWESTERN DIGITAL CORP
1,319,954$58.3M0.04%
564
ABMDEURABIOMED INC
240,104$58.0M0.04%
565
EVRGEVERGY INC
974,175$57.8M0.04%
566
FITBFIFTH THIRD BANCORP
2,982,320$57.5M0.04%
567
HESHESS CORP
1,108,075$57.4M0.04%
568
DEIDOUGLAS EMMETT INC
1,863,419$57.1M0.04%
569
FMCFMC CORP
572,725$57.1M0.04%
570
MLMMARTIN MARIETTA MATERIALS
276,112$57.0M0.04%
571
SJMJM SMUCKER CO/THE
536,159$56.7M0.04%
572
NVRNVR INC
17,395$56.7M0.04%
573
NDAQNASDAQ INC
473,576$56.6M0.04%
574
NUENUCOR CORP
1,363,380$56.5M0.04%
575
GENNORTONLIFELOCK INC
2,838,813$56.3M0.04%
576
VMWEURVMWARE INC-CLASS A
363,251$56.3M0.04%
577
MKLMARKEL CORP
60,615$56.0M0.04%
578
KRCKILROY REALTY CORP
950,326$55.8M0.04%
579
OKEONEOK INC
1,677,059$55.7M0.04%
580
TECHBIO-TECHNE CORP
209,851$55.4M0.04%
581
COOCOOPER COS INC/THE
195,331$55.4M0.04%
582
0VVBVIACOMCBS INC - CLASS B
2,362,455$55.1M0.04%
583
QSRRESTAURANT BRANDS INTERN
1,013,263$55.0M0.04%
584
GDDYGODADDY INC - CLASS A
747,022$54.8M0.04%
585
AESAES CORP
3,764,196$54.5M0.04%
586
IRDMIRIDIUM COMMUNICATIONS INC
2,138,679$54.4M0.04%
587
BAHBOOZ ALLEN HAMILTON HOLDINGS
694,505$54.0M0.04%
588
GPCGENUINE PARTS CO
620,013$53.9M0.04%
589
SNASNAP-ON INC
388,238$53.8M0.04%
590
LBRDKLIBERTY BROADBAND-C
431,189$53.5M0.04%
591
IEXIDEX CORP
338,685$53.4M0.04%
592
SSNCSS&C TECHNOLOGIES HOLDINGS
944,636$53.4M0.04%
593
LNTALLIANT ENERGY CORP
1,106,840$53.0M0.04%
594
PHMPULTEGROUP INC
1,553,360$52.9M0.04%
595
BURLBURLINGTON STORES INC
268,284$52.8M0.04%
596
CECELANESE CORP
606,254$52.3M0.04%
597
NBIXNEUROCRINE BIOSCIENCES INC
425,845$52.0M0.04%
598
JECUSDJACOBS ENGINEERING GROUP INC
610,170$51.7M0.04%
599
MDBMONGODB INC
228,471$51.7M0.04%
600
EMBISHARES JP MORGAN USD EMERGI
473,702$51.6M0.04%
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