KO
KO
 
  Institutional Portfolio Description | Show Summary  
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Company Class Value
of Shares
($1000)
Change
in Value
($1000)
% Change
in Value
Shares
Held
HOME DEPOT INC COM $1,345,444 ($18,499) (1.36%) 13,869,131
MONSTER BEVERAGE CORP COM $1,345,154 $241,184 21.85% 12,178,854
MCDONALDS CORP COM $1,320,786 $70,720 5.66% 13,616,354
UNILEVER N V N Y SHS NEW $1,286,006 ($27) (0.00%) 32,311,715
ALIBABA GROUP HLDG LTD SPONSORED ADS $1,274,311 $1,274,311 New 11,230,380
INCYTE CORP COM $1,266,112 $78,951 6.65% 17,310,804
QUALCOMM INC COM $1,252,725 ($845,228) (40.29%) 17,333,960
WALGREEN CO COM $1,250,232 $106,269 9.29% 18,437,286
FEDEX CORP COM $1,248,926 ($16,394) (1.30%) 7,142,432
COVIDIEN PLC SHS $1,244,761 ($281,552) (18.45%) 12,532,832
FORD MTR CO DEL COM PAR $0.01 $1,234,673 $8,603 0.70% 78,741,875
MYLAN INC COM $1,154,139 $567,703 96.81% 20,547,248
ENBRIDGE INC COM $1,139,738 ($53,825) (4.51%) 24,265,239
CELGENE CORP COM $1,138,281 $395,777 53.30% 10,248,319
ADVANCE AUTO PARTS INC COM $1,135,221 $292,523 34.71% 7,804,889
INTL PAPER CO COM $1,135,193 ($13,621) (1.19%) 21,045,476
FACEBOOK INC CL A $1,122,177 $35,242 3.24% 14,837,728
AUTOMATIC DATA PROCESSI... COM $1,120,438 $35,015 3.23% 13,256,487
HCA HOLDINGS INC COM $1,118,986 ($314,487) (21.94%) 16,077,389
HALLIBURTON CO COM $1,114,661 ($42,669) (3.69%) 23,096,993

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