外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 fr0000121014 lvmh...

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外国株式保有銘柄 (厚生年金保険給付組合積立金) 平成31年3月末時点 1 US46434G1031 ISHARES CORE MSCI EMERGING 881,885 5,047,487,625 2 US0378331005 APPLE,INC. 66,841 1,405,306,341 3 US0231351067 AMAZON.COM, INC. 5,269 1,038,532,090 4 US5949181045 MICROSOFT CORPORATION 65,232 851,550,849 5 US4781601046 JOHNSON AND JOHNSON 39,244 607,208,917 6 US30303M1027 FACEBOOK INC-A 29,970 552,948,976 7 US02079K1079 ALPHABET INC/CA-CL C 3,915 508,432,504 8 US02079K3059 ALPHABET INC/CA-CL A 3,826 498,390,329 9 US0970231058 BOEING COMPANY 10,680 450,882,607 10 US1729674242 CITIGROUP, INC. 49,705 342,309,422 11 US30231G1022 EXXON MOBIL CORPORATION 36,227 323,990,667 12 US46625H1005 JPMORGAN CHASE AND CO. 28,678 321,326,739 13 US70450Y1038 PAYPAL HOLDINGS INC 27,310 313,888,314 14 US7181721090 PHILIP MORRIS INTERNATIONAL INC. 32,007 313,138,792 15 US0605051046 BANK OF AMERICA CORPORATION 101,005 308,448,983 16 US9078181081 UNION PACIFIC CORP. 15,923 294,679,508 17 US92826C8394 VISA INC-CLASS A SHARES 16,793 290,315,538 18 US7170811035 PFIZER INC. 60,482 284,313,298 19 CH0038863350 NESTLE SA (REGISTERED) 26,350 277,920,043 20 HK0000069689 AIA GROUP LTD 244,200 269,089,356 21 CH0012032048 ROCHE HOLDING AG (GENUSSCHEINE NPV) 8,728 266,129,328 22 US0846707026 BERKSHIRE HATHAWAY INC. CLASS B 11,107 246,969,805 23 US7427181091 PROCTER AND GAMBLE 21,271 244,973,305 24 IT0003132476 ENTE NAZIONALE IDROCARBURI (ENI) 124,309 243,390,670 25 US00287Y1091 ABBVIE INC 26,280 234,420,336 26 US4581401001 INTEL CORPORATION 39,410 234,244,547 27 DK0060534915 NOVO NORDISK A/S B 40,080 232,466,916 28 US92343V1044 VERIZON COMMUNICATIONS 35,294 230,992,314 29 US17275R1023 CISCO SYSTEMS INC 38,472 229,904,176 30 IE00BTN1Y115 MEDTRONIC PLC 22,767 229,518,447 31 US20825C1045 CONOCOPHILLIPS 30,917 228,387,492 32 US0311621009 AMGEN 10,723 225,482,560 33 US91324P1021 UNITEDHEALTH GROUP INCORPORATED 8,223 225,046,842 34 US1667641005 CHEVRON CORPORATION 16,397 223,559,621 35 US9497461015 WELLS FARGO & CO NEW 41,617 222,580,166 株数 時価総額(円) No. ISIN 発行体名

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Page 1: 外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164 148 GB0009895292 ASTRAZENECA GROUP

外国株式保有銘柄 (厚生年金保険給付組合積立金)平成31年3月末時点

1 US46434G1031 ISHARES CORE MSCI EMERGING 881,885 5,047,487,6252 US0378331005 APPLE,INC. 66,841 1,405,306,3413 US0231351067 AMAZON.COM, INC. 5,269 1,038,532,0904 US5949181045 MICROSOFT CORPORATION 65,232 851,550,8495 US4781601046 JOHNSON AND JOHNSON 39,244 607,208,9176 US30303M1027 FACEBOOK INC-A 29,970 552,948,9767 US02079K1079 ALPHABET INC/CA-CL C 3,915 508,432,5048 US02079K3059 ALPHABET INC/CA-CL A 3,826 498,390,3299 US0970231058 BOEING COMPANY 10,680 450,882,60710 US1729674242 CITIGROUP, INC. 49,705 342,309,42211 US30231G1022 EXXON MOBIL CORPORATION 36,227 323,990,66712 US46625H1005 JPMORGAN CHASE AND CO. 28,678 321,326,73913 US70450Y1038 PAYPAL HOLDINGS INC 27,310 313,888,31414 US7181721090 PHILIP MORRIS INTERNATIONAL INC. 32,007 313,138,79215 US0605051046 BANK OF AMERICA CORPORATION 101,005 308,448,98316 US9078181081 UNION PACIFIC CORP. 15,923 294,679,50817 US92826C8394 VISA INC-CLASS A SHARES 16,793 290,315,53818 US7170811035 PFIZER INC. 60,482 284,313,29819 CH0038863350 NESTLE SA (REGISTERED) 26,350 277,920,04320 HK0000069689 AIA GROUP LTD 244,200 269,089,35621 CH0012032048 ROCHE HOLDING AG (GENUSSCHEINE NPV) 8,728 266,129,32822 US0846707026 BERKSHIRE HATHAWAY INC. CLASS B 11,107 246,969,80523 US7427181091 PROCTER AND GAMBLE 21,271 244,973,30524 IT0003132476 ENTE NAZIONALE IDROCARBURI (ENI) 124,309 243,390,67025 US00287Y1091 ABBVIE INC 26,280 234,420,33626 US4581401001 INTEL CORPORATION 39,410 234,244,54727 DK0060534915 NOVO NORDISK A/S B 40,080 232,466,91628 US92343V1044 VERIZON COMMUNICATIONS 35,294 230,992,31429 US17275R1023 CISCO SYSTEMS INC 38,472 229,904,17630 IE00BTN1Y115 MEDTRONIC PLC 22,767 229,518,44731 US20825C1045 CONOCOPHILLIPS 30,917 228,387,49232 US0311621009 AMGEN 10,723 225,482,56033 US91324P1021 UNITEDHEALTH GROUP INCORPORATED 8,223 225,046,84234 US1667641005 CHEVRON CORPORATION 16,397 223,559,62135 US9497461015 WELLS FARGO & CO NEW 41,617 222,580,166

株数 時価総額(円)No. ISIN 発行体名

Page 2: 外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164 148 GB0009895292 ASTRAZENECA GROUP

36 US57636Q1040 MASTERCARD INC-CLASS A 8,497 221,438,47437 US4592001014 INTERNATIONAL BUSINESS MACHINES CORPORATION 14,178 221,427,09138 US00206R1023 AT AND T INC. 62,990 218,643,42939 US58933Y1055 MERCK AND CO. INC 22,521 207,320,92640 US4370761029 HOME DEPOT 9,756 207,211,04641 US64110L1061 NETFLIX.COM, INC. 5,234 206,564,22442 US2546871060 WALT DISNEY COMPANY 16,652 204,642,34743 US7433151039 PROGRESSIVE CORPORATION-OHIO 25,070 200,040,59044 US1264081035 CSX CORP. 24,104 199,616,11045 US6974351057 PALO ALTO NETWORKS INC 7,407 199,123,66046 CH0012005267 NOVARTIS (REGISTERED) 18,494 196,869,62947 US81762P1021 SERVICENOW, INC. 6,946 189,505,95048 US30161N1019 EXELON CORPORATION 33,230 184,381,27549 FR0000121972 SCHNEIDER ELECTRIC SE 20,934 181,965,20850 US7185461040 PHILLIPS 66 17,198 181,161,86451 US92532F1003 VERTEX PHARMACEUTICALS, INC. 8,873 180,658,76752 US1912161007 THE COCA-COLA COMPANY 34,693 179,942,15153 US68389X1054 ORACLE CORPORATION 29,999 178,340,79454 DE000A1EWWW0 ADIDAS AG 6,600 177,669,50855 US40412C1018 HCA HEALTHCARE INC 12,027 173,562,96256 US20030N1019 COMCAST CORP CL-A 39,016 172,653,06857 US8243481061 SHERWIN WILLIAMS 3,620 172,576,75258 NL0000009827 KONINKLIJKE DSM NV 13,999 169,042,15859 US7134481081 PEPSICO INC. 12,105 164,197,62760 US1101221083 BRISTOL MYERS SQUIBB CO. 30,735 162,304,81361 US0200021014 ALLSTATE CORPORATION 15,545 162,045,95062 US5128071082 LAM RESEARCH CORPORATION 8,160 161,679,96963 SE0000108656 TELEFONAKTIEBOLAGET LM ERICSSON SERIES 'B' 158,384 161,447,63064 US0367521038 ANTHEM INC. 4,992 158,567,79165 CA8672241079 SUNCOR ENERGY INC. 43,978 157,805,53166 US1773761002 CITRIX SYSTEMS, INC. 14,272 157,432,53567 US4448591028 HUMANA INCORPORATED 5,316 156,514,78768 GB0002374006 DIAGEO PLC 33,955 153,676,16869 GB0005405286 HSBC HOLDINGS ORDINARY USD0.50 (UK REG) 170,380 153,167,13570 US7672041008 RIO TINTO PLC SPONSORED ADR 23,511 153,146,23971 CA13645T1003 CANADIAN PACIFIC RAILWAY LIMITED 6,660 151,929,49772 KR7000660001 SK HYNIX INC. 20,973 151,746,59773 US3755581036 GILEAD SCIENCES INC 21,085 151,719,89674 US1491231015 CATERPILLAR INCORPORATED 10,012 150,147,066

Page 3: 外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164 148 GB0009895292 ASTRAZENECA GROUP

75 SE0000310336 SWEDISH MATCH AB 25,901 146,475,18076 US91913Y1001 VALERO ENERGY CORPORATION 15,442 144,991,24677 US4567881085 INFOSYS LTD. (ADR) 119,096 144,080,79878 US34959E1091 FORTINET INC 15,295 142,155,08579 US4385161066 HONEYWELL INTERNATIONAL INC. 8,059 141,758,29480 US44107P1049 HOST HOTELS AND RESORTS INC (REIT) 67,476 141,156,18181 US2003401070 COMERICA INC 17,370 140,964,91782 US2786421030 EBAY INC 34,197 140,578,42583 US5801351017 MCDONALD'S CORPORATION 6,625 139,251,41484 GB0007980591 BP PLC 171,543 138,180,26885 US4612021034 INTUIT, INC. 4,765 137,871,29986 US9897011071 ZIONS BANCORPORATION 27,348 137,456,67787 GB00B03MLX29 ROYAL DUTCH SHELL PLC-A 39,180 136,383,42288 US9311421039 WALMART INC 12,597 135,985,97689 US5178341070 LAS VEGAS SANDS CORP 19,936 134,515,32090 US45168D1046 IDEXX LABORATORIES, INC. 5,432 134,437,46991 GB0002875804 BRITISH AMERICAN TOBACCO P.L.C. 29,180 134,421,90592 US0028241000 ABBOTT LABORATORIES 15,021 132,908,19493 US02005N1000 ALLY FINANCIAL INC 43,556 132,529,17694 CNE100000205 BANK OF COMMUNICATIONS CO LTD.-H 1,454,000 131,824,84195 NO0010031479 DNB ASA 64,384 131,411,49996 US09062X1037 BIOGEN INC 5,017 131,263,38397 FR0000120271 TOTAL SA 21,007 129,287,09798 US8574771031 STATE STREET CORP 17,705 128,966,40499 CH0013841017 LONZA AG (REG) 3,743 128,460,661100 TW0001216000 UNI-PRESIDENT ENTERPRISES CORP 476,000 127,866,752101 HK0941009539 CHINA MOBILE LIMITED 112,500 126,900,808102 HK0388045442 HONG KONG EXCHANGES AND CLEARING LTD. 32,800 126,535,333103 BRTRPLACNPR1 COMPANHIA DE TRANSMISSAO DE ENERGIA ELTRICA PAULISTA 57,550 126,262,497104 US92553P2011 VIACOM INC. CLASS 'B'(NEW) 40,618 126,197,198105 US78486Q1013 SVB FINL GROUP 5,076 124,930,088106 US00724F1012 ADOBE SYSTEMS INC. 4,195 123,737,589107 DE000ENAG999 E.ON SE 100,170 123,398,385108 KYG5635P1090 LONGFOR PROPERTIES 316,000 123,198,124109 US1941621039 COLGATE PALMOLIVE CO. 16,001 121,389,184110 US2333311072 DTE ENERGY COMPANY 8,779 121,210,308111 US11135F1012 BROADCOM INC 3,605 119,989,131112 RU0007252813 ALROSA PJSC 770,100 119,909,339113 US09857L1089 BOOKING HLDGS UNC 615 118,778,247

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114 US6745991058 OCCIDENTAL PETROLEUM 16,157 118,387,944115 US26078J1007 DOWDUPONT INC 19,732 116,430,981116 US79466L3024 SALESFORCE.COM, INC. 6,639 116,376,248117 US88579Y1010 3M COMPANY 5,045 116,025,562118 NL0011794037 KONINKLIJKE AHOLD NV 39,024 115,066,397119 BRTAEECDAM10 TRANSMISSORA ALIANCA DE ENERGIA ELETRICA SA-UNIT 162,600 114,688,965120 US61174X1090 MONSTER BEVERAGE CORP 18,591 112,311,712121 TW0002912003 PRESIDENT CHAIN STORE CORP. 103,000 112,265,161122 GB00B03MM408 ROYAL DUTCH SHELL PLC-B 31,865 111,586,705123 US5324571083 LILLY (ELI) AND COMPANY 7,747 111,266,175124 ES0113211835 BANCO BILBAO VIZCAYA ARGENTARIA, S.A. (REGISTERED) 174,162 110,239,590125 DE0007164600 SAP SE 8,580 109,833,551126 US67103H1077 O'REILLY AUTOMOTIVE, INC. 2,521 108,350,022127 US87165B1035 SYNCHRONY FINANCIAL 30,672 108,298,276128 IE00B4BNMY34 ACCENTURE PLC CLASS-A 5,454 106,259,047129 GB0004544929 IMPERIAL BRANDS PLC 27,793 105,203,904130 US8835561023 THERMO FISHER SCIENTIFIC, INC. 3,455 104,675,092131 CA7800871021 ROYAL BANK OF CANADA MONTREAL QUEBEC 12,455 104,037,280132 US55315J1025 PJSC MMC NORILSK NICKEL-ADR 43,810 102,413,200133 US02209S1033 ALTRIA GROUP INC 16,097 102,322,826134 US6541061031 NIKE INC CLASS 'B' 10,939 101,960,054135 US9130171096 UNITED TECHNOLOGIES CORPORATION 7,073 100,904,759136 US03027X1000 AMERICAN TOWER CORPORATION 4,611 100,573,222137 FR0000121485 KERING 1,582 100,509,667138 US22160K1051 COSTCO WHOLESALE CORPORATION 3,735 100,102,728139 NL0000395903 WOLTERS KLUWER 13,157 99,255,842140 US1696561059 CHIPOTLE MEXICAN GRILL 1,261 99,140,654141 KYG875721634 TENCENT HLDGS LTD 19,400 98,748,568142 US67066G1040 NVIDIA CORPORATION 4,943 98,240,140143 US8825081040 TEXAS INSTRUMENTS INCORPORATED 8,334 97,844,143144 US0865161014 BEST BUY COMPANY, INC. 12,427 97,741,785145 GB0009252882 GLAXOSMITHKLINE PLC 42,404 97,657,858146 US37045V1008 GENERAL MOTORS CO 23,653 97,128,998147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164148 GB0009895292 ASTRAZENECA GROUP PLC 10,811 95,659,979149 US43300A2033 HILTON WORLDWIDE HOLDINGS INC 10,359 95,292,754150 US96145D1054 WESTROCK CO 22,269 94,526,777151 CA8911605092 TORONTO DOMINION BANK 15,704 94,355,375152 FR0000120578 SANOFI 9,627 94,209,976

Page 5: 外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164 148 GB0009895292 ASTRAZENECA GROUP

153 ES0177542018 INTERNATIONAL CONSOLIDATED AIRLINES GROUP SA 127,215 93,941,639154 PLPZU0000011 PZU SA 79,185 92,587,337155 IE00BZ12WP82 LINDE PLC 4,726 92,028,509156 PA1436583006 CARNIVAL CORPORATION 16,370 91,900,249157 DE0008404005 ALLIANZ SE 3,709 91,400,012158 US5658491064 MARATHON OIL CORP 49,118 90,846,016159 MX01OM000018 GRUPO AEROPORTUARIO DEL CENTRO NORTE S.A.B.DE C.V 143,900 90,059,855160 US8552441094 STARBUCKS CORP 10,871 89,450,098161 US23331A1097 D.R. HORTON INC. 19,318 88,479,246162 US65339F1012 NEXTERA ENERGY, INC. 4,126 88,286,597163 US49338L1035 KEYSIGHT TECHNOLOGIES INC 9,068 87,521,905164 IE00B8KQN827 EATON CORP PLC 9,805 87,429,062165 US00846U1016 AGILENT TECHNOLOGIES, INC. 9,820 87,367,167166 DE0006062144 COVESTRO AG 14,235 86,724,396167 US1258961002 CMS ENERGY CORP 13,933 85,652,349168 US87612E1064 TARGET CORP. 9,641 85,646,576169 NL0000009355 UNILEVER NV (SHARE CERTIFICATE) 13,252 85,281,334170 CNE1000002Q2 CHINA PETROLEUM AND CHEMICAL CORPORATION CL-H 976,000 85,184,846171 NL0011031208 MYLAN NV 27,152 85,170,742172 US87336U1051 TABLEAU SOFTWARE INC CL-A 6,023 84,851,944173 US00507V1098 ACTIVISION BLIZZARD, INC. 16,775 84,537,411174 US5486611073 LOWE'S COMPANIES 6,956 84,283,674175 AU000000CBA7 COMMONWEALTH BANK OF AUSTRALIA 15,023 83,438,888176 US7010941042 PARKER HANNIFIN 4,380 83,201,426177 DE0007037129 RWE AG 27,862 82,760,041178 US3696041033 GENERAL ELECTRIC COMPANY 74,392 82,258,444179 US8725401090 TJX COMPANIES(FORMALLY ZAYERE CORP) 13,868 81,676,263180 US9024941034 TYSON FOODS CLASS 'A' 10,503 80,714,079181 US1746101054 CITIZENS FINANCIAL GROUP INC 22,117 79,560,653182 DE0007236101 SIEMENS AG (REGISTERED) 6,638 79,149,372183 AU000000BHP4 BHP BILLITON LIMITED 25,876 78,308,013184 US2358511028 DANAHER CORPORATION 5,352 78,206,815185 CH0012453913 TEMENOS AG 4,730 77,172,084186 CA0641491075 BANK OF NOVA SCOTIA 13,071 77,040,880187 FR0000073272 SAFRAN SA 5,057 76,833,803188 US0258161092 AMERICAN EXPRESS COMPANY 6,289 76,083,507189 US1510201049 CELGENE CORPORATION 7,237 75,568,919190 MX01WA000038 WAL-MART DE MEXICO 250,300 74,154,676191 NL0010273215 ASML HOLDING NV 3,533 73,415,950

Page 6: 外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164 148 GB0009895292 ASTRAZENECA GROUP

192 US9113121068 UNITED PARCEL SERVICE, INC. CLASS B 5,902 72,995,593193 US5398301094 LOCKHEED MARTIN CORPORATION 2,195 72,924,945194 NL0000235190 AIRBUS SE 4,972 72,854,341195 US9290891004 VOYA FINANCIAL INC 13,165 72,800,113196 ES0113900J37 BANCO SANTANDER, S.A. 139,870 72,045,562197 CNE1000002V2 CHINA TELECOM CORPORATION LIMITED-H 1,164,000 71,558,519198 US9633201069 WHIRLPOOL CORP 4,848 71,308,889199 CA29250N1050 ENBRIDGE INC 17,779 71,293,716200 US9029733048 U.S. BANCORP 13,336 71,133,025201 GB00B5BT0K07 AON PLC 3,730 70,474,356202 BMG0450A1053 ARCH CAPITAL GROUP LTD. 19,360 69,257,286203 GB00BH0P3Z91 BHP GROUP PLC 25,944 69,171,904204 US6092071058 MONDELEZ INTERNATIONAL INC 12,476 68,934,830205 US5218652049 LEAR CORP 4,565 68,571,144206 US7475251036 QUALCOMM, INC. 10,704 67,567,560207 US0530151036 AUTOMATIC DATA PROCESSING INC. 3,773 66,709,741208 FR0000120321 L'OREAL 2,226 66,341,433209 IE00B6330302 INGERSOLL-RAND PLC 5,539 66,182,440210 GB00B1YW4409 3I GROUP PLC 46,592 66,177,329211 US1266501006 CVS HEALTH CORPORATION 11,061 66,025,786212 KR7018260000 SAMSUNG SDS CO LTD 2,877 65,926,834213 US9139031002 UNIVERSAL HEALTH SERVICES, INC. CLASS-B 4,442 65,769,727214 US00130H1059 AES CORPORATION 31,763 63,563,632215 US7458671010 PULTE GROUP INC. 20,461 63,321,732216 GB0007188757 RIO TINTO PLC (REG) 9,832 63,259,236217 DE000BASF111 BASF SE 7,766 63,248,184218 ES0167050915 ACS,ACTIVIDADES DE CONSTRUCCION Y SERVICIOS, S.A. 12,982 63,182,207219 US8636671013 STRYKER CORP 2,886 63,095,178220 US0758871091 BECTON, DICKINSON AND COMPANY 2,272 62,801,181221 US38141G1040 THE GOLDMAN SACHS GROUP, INC. 2,952 62,731,219222 US17243V1026 CINEMARK HOLDINGS INC 14,121 62,503,685223 US46120E6023 INTUITIVE SURGICAL, INC. 976 61,638,935224 NL0011540547 ABN AMRO GROUP NV-CVA 24,650 61,577,704225 CA1363751027 CANADIAN NATIONAL RAILWAY COMPANY 6,200 61,451,198226 BE0974293251 ANHEUSER-BUSCH INBEV SA/NV 6,573 61,072,182227 CH0044328745 CHUBB LTD 3,935 61,011,210228 DE0005785802 FRESENIUS MEDICAL CARE AG AND CO KGAA 6,827 61,005,543229 PTGAL0AM0009 GALP ENERGIA, SGPS, S.A. 34,360 60,980,624230 GB00B10RZP78 UNILEVER PLC (STG) 9,589 60,782,988

Page 7: 外国株式保有銘柄 (厚生年金保険給付組合積立金) …...147 FR0000121014 LVMH MOET HENNESSY LOUIS VUITTON SE 2,373 96,705,164 148 GB0009895292 ASTRAZENECA GROUP

231 US26441C2044 DUKE ENERGY CORPORATION 6,079 60,556,870232 AU000000WBC1 WESTPAC BANKING CORPORATION LTD. 29,205 59,518,689233 AN8068571086 SCHLUMBERGER LIMITED 12,228 58,970,085234 AU000000CSL8 CSL LIMITED 3,828 58,672,425235 US12514G1085 CDW CORP/DE 5,499 58,656,256236 DE0006599905 MERCK KGAA 4,586 57,936,458237 US8085131055 CHARLES SCHWAB CORPORATION 12,180 57,646,607238 US1255231003 CIGNA CORP 3,223 57,370,565239 DE000BAY0017 BAYER 7,967 57,033,209240 US0255371017 AMERICAN ELECTRIC POWER COMPANY INCORPORATED 6,093 56,481,310241 INE467B01029 TATA CONSULTANCY SERVICES LTD 17,483 55,913,454242 US7551115071 RAYTHEON COMPANY 2,764 55,704,342243 US12572Q1058 CME GROUP INC. 3,037 55,323,623244 GB0008706128 LLOYDS BANKING GROUP PLC 606,321 54,340,509245 US1252691001 CF INDUSTRIES HOLDINGS, INC. 11,939 54,021,619246 US25746U1097 DOMINION ENERGY INC 6,361 53,973,798247 US6934751057 PNC FINANCIAL SERVICES GROUP 3,965 53,831,306248 US8851601018 THOR INDUSTRIES INC 7,792 53,791,475249 US8288061091 SIMON PROPERTY GROUP, INC. (REIT) 2,663 53,707,154250 US26875P1012 EOG RESOURCES, INC. 5,041 53,106,926251 ES0144580Y14 IBERDROLA S.A. 54,491 52,999,910252 US16119P1084 CHARTER COMMUNICATIONS INC- CLASS A 1,379 52,950,474253 US31620M1062 FIDELITY NATIONAL INFORMATION SERVICES INC 4,215 52,765,365254 US6174464486 MORGAN STANLEY 11,228 52,444,943255 GB00B24CGK77 RECKITT BENCKISER GROUP PLC 5,682 52,300,745256 US0036541003 ABIOMED INC 1,654 52,283,814257 DE0005557508 DEUTSCHE TELEKOM AG (REGISTERED) 28,324 52,081,090258 US5951121038 MICRON TECHNOLOGY INC 11,357 51,953,857259 FR0000120073 AIR LIQUIDE SA 3,646 51,362,801260 FR0000131104 BNP PARIBAS 9,664 51,177,488261 US8425871071 SOUTHERN COMPANY 8,918 51,012,750262 US6293775085 NRG ENERGY INC 10,770 50,639,449263 INE860A01027 HCL TECHNOLOGIES LIMITED 29,128 50,609,516264 US1011371077 BOSTON SCIENTIFIC CORP 11,867 50,412,087265 US65249B1098 NEWS CORPORATION-CLASS A 36,539 50,311,330266 US22822V1017 CROWN CASTLE INTL CORP 3,539 50,139,419267 US78409V1044 S AND P GLOBAL INC 2,137 49,802,201268 US5132721045 LAMB WESTON HOLDINGS INC 6,004 49,801,582269 AU000000ANZ3 AUSTRALIA AND NEW ZEALAND BANK 24,330 49,794,047

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270 DE0007100000 DAIMLER AG 7,652 49,690,317271 US9314271084 WALGREENS BOOTS ALLIANCE INC 7,094 49,679,565272 US14365C1036 CARNIVAL PLC ADR 8,991 49,569,359273 US6558441084 NORFOLK SOUTHERN CORPORATION 2,368 48,984,257274 IT0003128367 ENEL SPA 69,017 48,926,720275 GB0007099541 PRUDENTIAL PLC 21,901 48,565,618276 KR7005930003 SAMSUNG ELECTRONICS CO. 11,121 48,419,444277 US0640581007 THE BANK OF NEW YORK MELLON CORP 8,644 48,249,464278 US09247X1019 BLACKROCK, INC. 1,018 48,154,910279 CH0011075394 ZURICH INSURANCE GROUP AG 1,293 47,365,133280 IE00BY9D5467 ALLERGAN PLC 2,920 47,319,741281 US8485741099 SPIRIT AEROSYSTEMS HOLDINGS INC-CLASS A 4,661 47,220,581282 INE075A01022 WIPRO 115,920 47,192,177283 US92343E1029 VERISIGN, INC. 2,326 46,743,222284 FR0000125486 VINCI 4,334 46,710,948285 US98978V1035 ZOETIS INC 4,154 46,286,605286 AU000000NAB4 NATIONAL AUSTRALIA BANK 23,211 46,116,915287 FR0000120628 AXA 16,506 46,013,114288 US2441991054 DEERE AND CO. 2,597 45,945,839289 GB00BH4HKS39 VODAFONE GROUP PLC 225,861 45,540,549290 CA0636711016 BANK OF MONTREAL 5,481 45,406,176291 GB00BDSFG982 TECHNIPFMC PLC 17,391 45,274,184292 NL0011821202 ING GROEP NV 33,522 44,928,334293 FR0000120644 DANONE 5,226 44,614,233294 US5717481023 MARSH AND MCLENNAN COMPANIES, INC. 4,280 44,483,416295 AU000000WES1 WESFARMERS LTD 16,306 44,423,402296 CH0244767585 UBS GROUP AG 33,032 44,311,369297 JE00B4T3BW64 GLENCORE PLC 96,042 44,042,288298 US7593516047 REINSURANCE GROUP OF AMERICA 2,775 43,609,280299 US4523271090 ILLUMINA, INC. 1,264 43,467,345300 US2788651006 ECOLAB INC 2,221 43,399,072301 US31428X1063 FEDEX CORPORATION 2,131 42,789,128302 US91529Y1064 UNUM GROUP 11,359 42,533,474303 US74340W1036 PROLOGIS INC 5,319 42,359,376304 US1248572026 CBS CORPORATION CLASS-B 8,051 42,355,167305 KR7003490000 KOREAN AIR LINES CO LTD 13,588 42,200,682306 US94106L1098 WASTE MANAGEMENT, INC. 3,665 42,152,185307 US6668071029 NORTHROP GRUMMAN CORPORATION 1,400 41,776,946308 CA2918434077 EMPIRE COMPANY LTD. CLASS-A 17,400 41,705,779

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309 US45866F1049 INTERCONTINENTAL EXCHANGE INC 4,933 41,573,133310 US9884981013 YUM! BRANDS INC 3,714 41,030,302311 US4523081093 ILLINOIS TOOL WORKS INC. 2,547 40,463,216312 US2910111044 EMERSON ELECTRIC 5,325 40,356,055313 US3695501086 GENERAL DYNAMICS CORPORATION 2,151 40,302,763314 US4943681035 KIMBERLY-CLARK CORPORATION 2,935 40,250,212315 BE0003739530 UCB CAP NPV 4,181 39,782,548316 GB00B2B0DG97 RELX PLC 16,736 39,622,548317 US4361061082 HOLLYFRONTIER CORP 7,241 39,488,430318 US0091581068 AIR PRODUCTS AND CHEMICALS INC. 1,857 39,250,308319 US1924461023 COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION CLASS-A 4,893 39,237,594320 US56585A1025 MARATHON PETROLEUM CORP 5,848 38,740,059321 CA89353D1078 TRANSCANADA CORPORATION 7,780 38,687,810322 US25179M1036 DEVON ENERGY CORPORATION 11,009 38,456,843323 US0718131099 BAXTER INTERNATIONAL 4,231 38,078,142324 US8794338298 TELEPHONE & DATA SYS INC NEW 11,185 38,044,100325 US14040H1059 CAPITAL ONE FINANCIAL CORPORATION 4,171 37,713,588326 US74460D1090 PUBLIC STORAGE 1,555 37,483,241327 US0326541051 ANALOG DEVICES, INC. 3,208 37,379,006328 US49456B1017 KINDER MORGAN INC/DELAWARE 16,862 37,346,073329 US28176E1082 EDWARDS LIFESCIENCES CORPORATION 1,763 37,335,687330 IT0004965148 MONCLER SPA 8,362 37,329,914331 ES0178430E18 TELEFONICA S.A. 40,168 37,286,633332 CA1125851040 BROOKFIELD ASSET MANAGEMENT INC-CLASS A 7,218 37,232,702333 GB00BDR05C01 NATIONAL GRID PLC 30,235 37,101,144334 NL0000009538 KONINKLIJKE PHILIPS NV 8,146 36,765,541335 US0010551028 AFLAC INC. 6,638 36,736,351336 US7443201022 PRUDENTIAL FINANCIAL, INC. 3,609 36,702,583337 US98919V1052 ZAYO GROUP HOLDINGS INC 11,651 36,650,174338 US0382221051 APPLIED MATERIALS INC 8,301 36,439,456339 US29444U7000 EQUINIX INC 726 36,414,718340 FR0000120693 PERNOD RICARD 1,819 36,171,223341 US0268747849 AMERICAN INTERNATIONAL GROUP 7,549 35,979,259342 US03748R7540 APARTMENT INVESTMENT & MANAGEMENT CO-A 6,434 35,813,887343 CH0210483332 CIE FINANCIERE RICHEMONT SA 4,432 35,731,425344 US89417E1091 THE TRAVELERS COMPANIES, INC. 2,317 35,175,662345 US5184391044 THE ESTEE LAUDER COMPANIES INC. CLASS 'A' 1,898 34,778,765346 US3377381088 FISERV, INC. 3,530 34,492,589347 BMG0684D1074 ATHENE HOLDING LTD - CLASS A 7,624 34,429,587

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348 US5719032022 MARRIOTT INTERNATIONAL INC. CLASS 'A' 2,486 34,420,128349 US4571871023 INGREDION INC 3,280 34,376,900350 US0549371070 BB AND T CORPORATION 6,673 34,367,104351 GB00BD6K4575 COMPASS GROUP PLC 13,178 34,297,008352 US0162551016 ALIGN TECHNOLOGY INC 1,085 34,146,105353 TW0003034005 NOVATEK MICROELECTRONICS CORP., LTD. 48,000 34,131,510354 IT0000072618 INTESA SANPAOLO 125,619 33,894,222355 US59156R1086 METLIFE, INC. 7,180 33,831,158356 BMG9618E1075 WHITE MTNS INS GROUP LTD 329 33,701,692357 US88160R1014 TESLA INC. 1,083 33,547,337358 DE0008430026 MUENCHENER RUECKVERSICHERUNGS-GESEL(REG) 1,271 33,330,245359 US8168511090 SEMPRA ENERGY 2,355 32,807,067360 CA1360691010 CANADIAN IMPERIAL BANK OF COMMERCE 3,740 32,721,566361 US7766961061 ROPER TECHNOLOGIES INC 864 32,703,220362 US9694571004 THE WILLIAMS COMPANIES,INC 10,262 32,621,596363 US7782961038 ROSS STORES, INC. 3,162 32,583,693364 ES0109067019 AMADEUS IT GROUP SA 3,669 32,557,903365 CH0012221716 ABB LIMITED 15,636 32,514,156366 US57665R1068 MATCH GROUP INC 5,164 32,356,993367 GB0031348658 BARCLAYS PLC 144,936 32,334,062368 US9815581098 WORLDPAY INC-CLASS A 2,549 32,022,443369 US0527691069 AUTODESK, INC. 1,852 31,941,326370 CA67077M1086 NUTRIEN LTD 5,468 31,929,562371 IE00BY7QL619 JOHNSON CONTROLS INTERNATIONAL PLC 7,782 31,818,293372 CA56501R1064 MANULIFE FINANCIAL CORPORATION 16,790 31,438,202373 US8718291078 SYSCO CORPORATION 4,252 31,419,433374 CA87262K1057 TMX GROUP LTD 4,400 31,376,395375 CA1363851017 CANADIAN NATURAL RESOURCES LTD. 10,252 31,164,120376 SG1L01001701 DBS GROUP HOLDINGS LIMITED 15,100 31,131,780377 FR0000133308 ORANGE 17,262 31,107,823378 US1331311027 CAMDEN PROPERTY TRUST 2,719 30,546,679379 US3453708600 FORD MOTOR COMPANY 31,428 30,542,179380 US75886F1075 REGENERON PHARMACEUTICALS 669 30,405,698381 US4824801009 KLA-TENCOR CORPORATION 2,274 30,055,220382 US7565771026 RED HAT, INC. 1,480 29,928,781383 ES0148396007 INDUSTRIA DE DISENO TEXTIL, S.A. (INDITEX) 9,187 29,914,759384 FI0009000681 NOKIA OYJ 47,432 29,911,102385 DE0005552004 DEUTSCHE POST AG 8,266 29,792,291386 ES0105025003 MERLIN PROPERTIES SOCIMI S.A. 20,549 29,791,060

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387 US9839191015 XILINX, INC. 2,122 29,779,619388 US5010441013 KROGER COMPANY 10,866 29,586,498389 US55354G1004 MSCI INC. 1,344 29,579,564390 FR0000121667 ESSILOR INTERNATIONAL 2,440 29,530,453391 US95040Q1040 WELLTOWER INC 3,426 29,426,448392 US2566771059 DOLLAR GENERAL CORP. 2,222 29,340,888393 US6153691059 MOODY'S CORPORATION 1,457 29,204,030394 US40434L1052 HP INC 13,462 28,951,505395 US2855121099 ELECTRONIC ARTS 2,552 28,707,235396 US3703341046 GENERAL MILLS INC. 4,989 28,576,736397 DE0007664039 VOLKSWAGEN AG PFD 1,637 28,548,202398 US24703L2025 DELL TECHNOLOGIES INC-CLASS C 4,389 28,511,394399 ZAE000146932 ASSORE 9,875 28,346,181400 CH0126881561 SWISS RE AG 2,611 28,229,518401 NL0009538784 NXP SEMICONDUCTORS NV 2,883 28,205,678402 US2310211063 CUMMINS INC 1,609 28,115,409403 CH0012138530 CREDIT SUISSE GROUP AG 21,785 28,098,022404 US0153511094 ALEXION PHARMACEUTICALS, INC. 1,877 28,084,421405 FR0000127771 VIVENDI SA 8,747 28,079,802406 SE0000115446 VOLVO AB 'B' FREE 16,171 27,788,184407 US7445731067 PUBLIC SERVISE ENTERPRISE GROUP 4,220 27,749,858408 AU000000MQG1 MACQUARIE GROUP LTD 2,725 27,728,671409 HK0016000132 SUN HUNG KAI PROPERTIES LTD. 14,500 27,539,590410 US21036P1084 CONSTELLATION BRANDS, INC. CLASS-A 1,417 27,498,870411 GB0008847096 TESCO PLC 81,925 27,424,672412 US0320951017 AMPHENOL CORPORATION CLASS-A 2,603 27,209,396413 US9182041080 V.F. CORP 2,821 27,136,985414 US6826801036 ONEOK INC. 3,460 26,746,631415 KYG217651051 CK HUTCHISON HOLDINGS LTD 22,960 26,692,203416 CH0102993182 TE CONNECTIVITY LIMITED 2,980 26,634,684417 US98389B1008 XCEL ENERGY, INC. 4,256 26,479,145418 US8832031012 TEXTRON INC 4,709 26,404,784419 US0534841012 AVALONBAY COMMUNITIES, INC. 1,182 26,261,439420 US98138H1014 WORKDAY INC-CLASS A 1,229 26,233,745421 AU000000WOW2 WOOLWORTHS GROUP LTD 10,938 26,144,037422 DK0060696300 SCANDINAVIAN TOBACCO GROUP A/S 18,806 25,985,424423 US9576381092 WESTERN ALLIANCE BANCORP 5,707 25,924,118424 US2193501051 CORNING INC. 7,053 25,839,889425 NL0009434992 LYONDELLBASELL INDUSTRIES CLASS A 2,769 25,769,407

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426 FR0010208488 ENGIE 15,609 25,762,242427 US8679141031 SUNTRUST BANKS INC 3,915 25,674,907428 AU000000TCL6 TRANSURBAN GROUP 24,704 25,639,075429 NL0000009165 HEINEKEN N.V. 2,186 25,559,831430 US29476L1070 EQUITY RESIDENTIAL 3,047 25,402,211431 US6935061076 PPG INDUSTRIES 2,029 25,348,329432 US0533321024 AUTOZONE INC 223 25,278,103433 GB00B1XZS820 ANGLO AMERICAN PLC 8,524 25,245,733434 ZAE000015889 NASPERS 'N' 982 25,114,271435 US7043261079 PAYCHEX INC 2,815 24,988,577436 US0079031078 ADVANCED MICRO DEVICES INC 8,796 24,845,895437 US2091151041 CONSOLIDATED EDISON INC. 2,641 24,791,581438 GB0006825383 PERSIMMON 7,913 24,765,707439 US05722G1004 BAKER HUGHES A GE CO 7,989 24,511,755440 INE669C01036 TECH MAHINDRA LIMITED 19,668 24,382,496441 US8447411088 SOUTHWEST AIRLINES CO 4,237 24,344,354442 US5745991068 MASCO CORPORATION 5,576 24,261,328443 TW0002915006 RUENTEX INDUSTRIES LIMITED 83,400 24,230,571444 IE0001827041 CRH PLC 7,048 24,219,855445 IT0005239360 UNICREDIT SPA 17,036 24,196,267446 NO0010096985 STATOIL ASA 9,936 24,117,566447 US98956P1021 ZIMMER BIOMET HOLDINGS INC 1,703 24,071,010448 CA01626P4033 ALIMENTATION COUCHE-TARD INC. CL-B 3,690 24,066,338449 US4138751056 HARRIS CORP 1,357 23,988,368450 US7237871071 PIONEER NATURAL RESOURCES COMPANY 1,416 23,866,838451 US08579W1036 BERRY GLOBAL GROUP INC 4,002 23,862,329452 US2567461080 DOLLAR TREE INC 2,052 23,857,275453 AU000000RIO1 RIO TINTO LIMITED 3,086 23,756,591454 SG1S04926220 OVERSEA-CHINESE BANKING CORPORATION LTD. 26,300 23,748,040455 HK1883037637 CITIC TELECOM INTERNATIONAL HOLDINGS LTD 476,000 23,692,098456 US0404131064 ARISTA NETWORKS INC 680 23,668,083457 US4062161017 HALLIBURTON CO. 7,296 23,661,442458 DE000A1ML7J1 VONOVIA SE 4,107 23,592,021459 GB00B19NLV48 EXPERIAN PLC 7,851 23,541,239460 US34959J1088 FORTIVE CORP 2,524 23,436,260461 DE0008232125 DEUTSCHE LUFTHANSA AG (REGISTERED) 9,621 23,394,328462 US0394831020 ARCHER DANIELS MIDLAND 4,866 23,229,525463 US6937181088 PACCAR INC 3,049 22,995,789464 DE0005190003 BAYERISCHE MOTOREN WERKE AG 2,688 22,967,434

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465 US2547091080 DISCOVER FINANCIAL SERVICES 2,908 22,904,410466 DE0005810055 DEUTSCHE BOERSE AG (REGD) 1,612 22,899,277467 SG1M31001969 UNITED OVERSEAS BANK 11,100 22,848,669468 GB0030913577 BT GROUP PLC 70,760 22,753,339469 US2538681030 DIGITAL REALTY TRUST, INC. 1,721 22,668,177470 US69351T1060 PPL CORPORATION 6,448 22,652,738471 HK0823032773 LINK REIT 17,500 22,651,794472 CA0679011084 BARRICK GOLD CORPORATION 14,860 22,555,000473 US74144T1088 T. ROWE PRICE GROUP INC. 2,029 22,484,936474 US92857W3088 VODAFONE GROUP PLC SPONSORED ADR 11,162 22,460,771475 SE0007100581 ASSA ABLOY AB 'B' 9,366 22,431,707476 US46266C1053 IQVIA HOLDINGS INC 1,407 22,402,306477 US92939U1060 WEC ENERGY GROUP INC 2,548 22,302,567478 US6200763075 MOTOROLA SOLUTIONS INC 1,432 22,256,699479 IT0000062072 ASSICURAZIONI GENERALI 10,848 22,245,600480 US31847R1023 FIRST AMERICAN FINANCIAL CORP 3,899 22,225,381481 CH0012214059 LAFARGEHOLCIM LTD 4,065 22,223,395482 US4932671088 KEYCORP 12,663 22,075,264483 CA94106B1013 WASTE CONNECTIONS INC 2,246 22,023,342484 IE00BDB6Q211 WILLIS TOWERS WATSON PLC 1,130 21,969,256485 CA8667961053 SUN LIFE FINANCIAL INC 5,130 21,820,856486 US8725901040 T-MOBILE US INC 2,853 21,820,695487 US78410G1040 SBA COMMUNICATIONS CORP 986 21,789,975488 CH0010645932 GIVAUDAN (REG) 77 21,771,124489 US58155Q1031 MCKESSON CORPORATION 1,679 21,754,443490 ES0173516115 REPSOL S.A. 11,445 21,706,052491 FI4000297767 NORDEA BANK ABP 25,670 21,672,704492 GB0006776081 PEARSON PLC 17,957 21,656,775493 DE0005785604 FRESENIUS SE AND CO KGAA 3,497 21,626,513494 US0325111070 ANADARKO PETROLEUM 4,265 21,469,812495 FR0013326246 UNIBAIL-RODAMCO-WESTFIELD 1,180 21,431,946496 DE0006231004 INFINEON TECHNOLOGIES AG 9,745 21,418,913497 US2644115055 DUKE REALTY CORPORATION 6,320 21,391,602498 US42824C1099 HEWLETT PACKARD ENTERPRISE CO 12,513 21,370,571499 US7561091049 REALTY INCOME CORPORATION 2,611 21,258,732500 FR0010313833 ARKEMA 2,010 21,198,717501 KYG2177B1014 CK ASSET HOLDINGS LTD 21,460 21,120,637502 US92276F1003 VENTAS INC. 2,969 20,969,482503 US8522341036 SQUARE INC - A 2,528 20,963,491

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504 AU000000WPL2 WOODSIDE PETROLEUM 7,671 20,880,466505 US90184L1026 TWITTER INC 5,728 20,846,040506 FR0000130809 SOCIETE GENERALE SA 6,494 20,802,784507 DE0007472060 WIRECARD AG 1,492 20,712,499508 US37940X1028 GLOBAL PAYMENTS INC. 1,369 20,686,570509 GB00B63H8491 ROLLS-ROYCE HOLDINGS PLC 15,785 20,562,615510 US55261F1049 M & T BANK CORP 1,183 20,560,254511 BMG475671050 IHS MARKIT LTD 3,412 20,536,999512 US20605P1012 CONCHO RESOURCES INC. 1,672 20,534,847513 US30040W1080 EVERSOURCE ENERGY 2,612 20,512,299514 HK0003000038 HONGKONG AND CHINA GAS 77,234 20,495,099515 US1011211018 BOSTON PROPERTIES, INC. 1,374 20,360,629516 US3379321074 FIRSTENERGY CORP. 4,420 20,356,764517 US8936411003 TRANSDIGM GROUP, INC. 404 20,300,952518 FR0000130650 DASSAULT SYSTEMES S.A. 1,230 20,293,182519 GB0005603997 LEGAL AND GENERAL GROUP 50,886 20,204,791520 GB00B0SWJX34 LONDON STOCK EXCHANGE GROUP PLC 2,948 20,200,511521 US15135B1017 CENTENE CORPORATION 3,434 20,182,900522 US3390411052 FLEETCOR TECHNOLOGIES INC 739 20,170,128523 GB0004082847 STANDARD CHARTERED PLC 23,560 20,092,455524 US7739031091 ROCKWELL AUTOMATION INC 1,028 19,964,572525 US3156161024 F5 NETWORKS, INC. 1,147 19,923,156526 KR7005931001 SAMSUNG ELECTRONICS CO. (PFD) 5,620 19,865,469527 GB0009223206 SMITH AND NEPHEW PLC 9,025 19,824,258528 GB0002162385 AVIVA PLC 33,268 19,787,694529 US58733R1023 MERCADOLIBRE INC 351 19,725,531530 SE0000107419 INVESTOR AB SERIES 'B' 3,923 19,601,173531 US92345Y1064 VERISK ANALYTICS INC 1,322 19,461,300532 JE00B783TY65 APTIV PLC 2,191 19,277,186533 FR0000052292 HERMES INTERNATIONAL 263 19,226,103534 US2810201077 EDISON INTERNATIONAL 2,783 19,073,611535 US8545021011 STANLEY BLACK AND DECKER INC. 1,264 19,050,978536 US6516391066 NEWMONT MINING CORP HOLDING, CO. 4,792 18,972,498537 US1890541097 CLOROX COMPANY 1,065 18,914,948538 US0304201033 AMERICAN WATER WORKS COMPANY, INC. 1,623 18,729,449539 US5926881054 METTLER-TOLEDO INTERNATIONAL INC. 234 18,725,909540 GB0002634946 BAE SYSTEMS PLC 26,680 18,562,778541 FI0009003305 SAMPO OYJ-A SHS 3,696 18,562,280542 US5007541064 KRAFT HEINZ CO/THE 5,107 18,456,009

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543 US9047677045 UNILEVER PLC SPONSORED ADR 2,868 18,322,901544 US90384S3031 ULTA SALON COSMETICS AND FRAGRANCE INC 474 18,296,011545 NL0013267909 AKZO NOBEL N.V. 1,863 18,289,232546 CA82509L1076 SHOPIFY INC - CLASS A 800 18,284,255547 SE0011166610 ATLAS COPCO AB SERIES-A 6,098 18,166,856548 US9621661043 WEYERHAEUSER CO. 6,194 18,058,253549 DE0006048432 HENKEL AG AND CO. KGAA VORZUG (PFD) 1,595 18,039,005550 IE0004906560 KERRY GROUP PLC-A 1,457 18,017,442551 US5950171042 MICROCHIP TECHNOLOGY, INC. 1,961 18,006,740552 CA7751092007 ROGERS COMMUNICATIONS, INC. CLASS B 3,020 17,982,627553 HK0002007356 CLP HOLDINGS LTD 14,000 17,963,514554 FR0000121261 MICHELIN (CGDE) (REGISTERED) 1,370 17,946,166555 US6658591044 NORTHERN TRUST CORP 1,787 17,882,564556 FR0000125338 CAP GEMINI SA 1,324 17,787,880557 US9418481035 WATERS CORPORATION 638 17,775,012558 SE0009922164 ESSITY AKTIEBOLAG-B 5,527 17,682,639559 US2971781057 ESSEX PROPERTY TRUST, INC. 552 17,672,020560 BRPSSAACNOR7 PORTO SEGURO SA 11,538 17,664,621561 US5797802064 MCCORMICK AND CO., INC. 1,055 17,589,468562 US25470F1049 DISCOVERY COMMUNICATIONS INC. CLASS-A 5,871 17,558,449563 LR0008862868 ROYAL CARIBBEAN CRUISES 1,380 17,507,666564 US0311001004 AMETEK, INC. 1,906 17,503,816565 US29364G1031 ENTERGY CORP NEW 1,639 17,348,497566 US0584981064 BALL CORPORATION 2,701 17,297,836567 CA21037X1006 CONSTELLATION SOFTWARE INC 184 17,264,523568 HK0011000095 HANG SENG BANK LTD. 6,320 17,261,104569 US7607591002 REPUBLIC SERVICES, INC. 1,940 17,259,908570 CA7063271034 PEMBINA PIPELINE CORP 4,227 17,191,898571 AU000000IAG3 INSURANCE AUSTRALIA GROUP LIMITED 28,311 17,095,333572 US3119001044 FASTENAL COMPANY 2,386 16,983,911573 US1729081059 CINTAS CORP. 758 16,956,873574 DE0005664809 EVOTEC SE 5,696 16,770,482575 IL0010824113 CHECK POINT SOFTWARE TECHNOLOGIES LIMITED 1,195 16,730,652576 US03076C1062 AMERIPRISE FINANCIAL INC 1,177 16,688,386577 SE0000667891 SANDVIK AB 9,256 16,678,657578 FR0000125007 SAINT GOBAIN COMPAGNIE 4,150 16,664,625579 US64110D1046 NETAPP INC 2,169 16,646,853580 SG1T75931496 SINGAPORE TELECOMMUNICATIONS, LTD. 67,430 16,640,633581 US8486371045 SPLUNK INC. 1,206 16,632,369

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582 US45337C1027 INCYTE CORP. 1,733 16,498,189583 US4601461035 INTERNATIONAL PAPER 3,220 16,490,891584 US23355L1061 DXC TECHNOLOGY CO 2,305 16,407,341585 US6703461052 NUCOR CORP 2,540 16,404,513586 US4165151048 HARTFORD FINANCIAL SERVICES GROUP INC. 2,962 16,300,650587 CA3495531079 FORTIS INC 3,983 16,298,509588 US35671D8570 FREEPORT-MCMORAN INC 11,390 16,250,450589 CH0418792922 SIKA AG 1,045 16,155,353590 US30212P3038 EXPEDIA GROUP INC NEW 1,220 16,069,247591 SE0007100599 SVENSKA HANDELSBANKEN-A SHS 13,658 15,988,838592 CA12532H1047 CGI INC 2,100 15,984,224593 GB00B7T77214 ROYAL BANK OF SCOTLAND GROUP PLC 44,843 15,975,021594 US1713401024 CHURCH AND DWIGHT CO., INC 2,025 15,965,287595 US15189T1079 CENTERPOINT ENERGY INC 4,698 15,963,942596 BE0003565737 KBC GROUP NV 2,061 15,952,806597 US1273871087 CADENCE DESIGN SYSTEM INC 2,264 15,915,024598 US30034W1062 EVERGY INC 2,473 15,889,678599 FR0010307819 LEGRAND SA 2,142 15,882,293600 US33616C1009 FIRST REPUBLIC BANK/SAN FRANCISCO CA 1,422 15,811,808601 US50540R4092 LABORATORY CORPORATION OF AMERICA HOLDINGS 933 15,798,107602 US3724601055 GENUINE PARTS 1,270 15,748,051603 FI0009013403 KONE OYJ-B 2,818 15,746,273604 DE000A0HN5C6 DEUTSCHE WOHNEN SE (BR) 2,927 15,726,007605 US0236081024 AMEREN CORPORATION 1,929 15,703,760606 US8919061098 TOTAL SYSTEM SERVICE INC 1,492 15,690,143607 HK2388011192 BOC HONG KONG HOLDINGS LIMITED 34,000 15,580,599608 US1567821046 CERNER CORPORATION 2,453 15,533,104609 US3167731005 FIFTH THIRD BANCORP 5,551 15,495,481610 US03662Q1058 ANSYS, INC. 766 15,491,014611 US2371941053 DARDEN RESTAURANTS INC. 1,144 15,380,973612 FR0000130213 LAGARDERE S.C.A. 5,362 15,273,970613 US6821891057 ON SEMICONDUCTOR CORP 6,681 15,211,236614 US8716071076 SYNOPSYS INC. 1,193 15,205,235615 BMG507361001 JARDINE MATHESON HOLDINGS LTD. (SINGAPORE QUOTE) 2,200 15,185,096616 US22160N1090 COSTAR GROUP INC 294 15,177,955617 US0152711091 ALEXANDRIA REAL ESTATE EQUITIES, INC. 954 15,053,407618 US14149Y1082 CARDINAL HEALTH INC. 2,818 15,018,482619 US57772K1016 MAXIM INTEGRATED PRODUCTS, INC. 2,550 15,007,059620 US44919P5089 IAC/INTERACTIVECORP 645 15,000,136

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621 US6819191064 OMNICOM GROUP 1,849 14,937,882622 DK0010268606 VESTAS WIND SYSTEMS A/S 1,601 14,925,698623 US3848021040 GRAINGER (W.W.), INC. 448 14,922,179624 US25278X1090 DIAMONDBACK ENERGY INC 1,326 14,901,386625 NL0011585146 FERRARI NV 1,003 14,896,332626 SE0000106270 HENNES AND MAURITZ AB 'B' 8,050 14,889,783627 NL0010877643 FIAT CHRYSLER AUTOMOBILES N.V. 8,989 14,827,170628 US7611521078 RESMED INC. 1,286 14,799,184629 DE0005140008 DEUTSCHE BANK AG (REGISTERED) 16,397 14,794,882630 US98419M1009 XYLEM INC. 1,689 14,776,288631 US4278661081 THE HERSHEY COMPANY 1,161 14,756,261632 FR0000121501 PEUGEOT CITOROEN 5,450 14,725,381633 US12504L1098 CBRE GROUP INC-A 2,675 14,641,273634 US5500211090 LULULEMON ATHLETICA INC 804 14,582,912635 US42809H1077 HESS CORPORATION 2,186 14,573,094636 FI0009013296 NESTE OYJ 1,234 14,569,655637 US09061G1013 BIOMARIN PHARMACEUTICAL INC. 1,479 14,541,747638 DE0005439004 CONTINENTAL AG 871 14,527,175639 US3635761097 ARTHUR J. GALLAGHER AND CO. 1,680 14,522,757640 US16411R2085 CHENIERE ENERGY INC 1,911 14,459,441641 CA5592224011 MAGNA INTERNATIONAL INC. 2,680 14,448,214642 US8715031089 SYMANTEC CORPORATION 5,668 14,423,065643 GB0007908733 SSE PLC 8,409 14,396,102644 US5024131071 L3 TECHNOLOGIES INC 630 14,390,499645 US5260571048 LENNAR CORPORATION CLASS-A 2,645 14,371,677646 HK0027032686 GALAXY ENTERTAINMENT GROUP LIMITED 19,000 14,319,346647 US56418H1005 MANPOWERGROUP 1,564 14,314,576648 US1156372096 BROWN-FORMAN CORPORATION CLASS B 2,450 14,312,788649 AU000000S320 SOUTH32 48,758 14,299,335650 US7591EP1005 REGIONS FINANCIAL CORPORATION 9,115 14,275,846651 DK0060094928 ORSTED A/S 1,698 14,258,310652 US81211K1007 SEALED AIR CORPORATION 2,788 14,213,645653 US8816242098 TEVA PHARMACEUTICAL INDUSTRIES LIMITED (ADR) 8,189 14,212,343654 US4461501045 HUNTINGTON BANCSHARES INC. 10,065 14,126,084655 US9291601097 VULCAN MATERIALS CO 1,077 14,114,197656 CA6330671034 NATIONAL BANK OF CANADA 2,820 14,090,843657 FR0000045072 CREDIT AGRICOLE S.A. 10,505 14,061,196658 US8793691069 TELEFLEX, INC. 420 14,046,723659 BMG0585R1060 ASSURED GUARANTY LTD 2,844 13,986,037

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660 US9224751084 VEEVA SYSTEM INC-CLASS A 995 13,971,291661 AU000000SCG8 SCENTRE GROUP 42,965 13,884,101662 AU000000BXB1 BRAMBLES LTD 14,947 13,820,460663 AU000000GMG2 GOODMAN GROUP 13,143 13,795,483664 DK0060079531 DSV, DE SAMMENSLUTTEDE VOGNMAEND A/S 1,504 13,781,026665 US9285634021 VMWARE INC. CLASS-A 688 13,746,067666 FI0009005987 UPM-KYMMENE CORPORATION 4,244 13,713,844667 US3666511072 GARTNER, INC. 816 13,699,579668 CA3518581051 FRANCO-NEVADA CORPORATION 1,650 13,696,414669 CA76131D1033 RESTAURANT BRANDS INTERNATIONAL INC 1,900 13,685,850670 US4878361082 KELLOGG COMPANY 2,152 13,667,578671 CH0014852781 SWISS LIFE HOLDING AG 279 13,597,117672 US0374111054 APACHE CORPORATION 3,543 13,592,160673 NO0010063308 TELENOR A/S 6,063 13,458,133674 FR0000121329 THALES SA 1,010 13,399,844675 IE00B58JVZ52 SEAGATE TECHNOLOGY 2,524 13,378,978676 US92936U1097 WP CAREY INC 1,543 13,377,742677 US27579R1041 EAST WEST BANCORP INC 2,517 13,364,160678 CH0030170408 GEBERIT INTERNATIONAL AG REG 295 13,344,105679 US1720621010 CINCINNATI FINANCIAL CORPORATION 1,401 13,320,485680 US4404521001 HORMEL FOODS CORPORATION 2,686 13,307,143681 US83088M1027 SKYWORKS SOLUTIONS INC 1,454 13,274,000682 CH0008742519 SWISSCOM AG (REGISTERED) 245 13,260,749683 US40414L1098 HCP INC 3,822 13,241,091684 US3021301094 EXPEDITORS INTERNATIONAL OF WASHINGTON, INC. 1,568 13,172,754685 AU000000SUN6 SUNCORP GROUP LTD. 12,156 13,170,463686 US8326964058 JM SMUCKER CO 1,020 13,152,698687 JE00BFYFZP55 FERGUSON PLC 1,866 13,144,290688 AU000000AMC4 AMCOR LIMITED 10,851 13,130,145689 SE0000148884 SKANDINAVISKA ENSKILDA BANKEN-A FREE 13,657 13,116,080690 FR0000131906 RENAULT SA 1,788 13,090,825691 US87236Y1082 TD AMERITRADE HOLDING CORPORATION 2,361 13,063,750692 US9297401088 WABTEC CORPORATION 1,597 13,031,038693 US30225T1025 EXTRA SPACE STORAGE INC 1,155 13,028,294694 US2944291051 EQUIFAX INC. 993 13,024,359695 US5732841060 MARTIN MARIETTA MATERIALS 584 13,004,283696 US74251V1026 THE PRINCIPAL FINANCIAL GROUP 2,340 12,999,355697 US2166484020 COOPER COMPANIES, INC. 396 12,981,504698 SE0000667925 TELIA COMPANY AB 25,892 12,961,592

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699 DK0060448595 COLOPLAST A/S CLASS-B 1,066 12,958,488700 CH0024608827 PARTNERS GROUP HOLDING AG 161 12,955,001701 US32008D1063 FIRST DATA CORP- CLASS A 4,451 12,942,150702 US89400J1079 TRANSUNION 1,733 12,821,055703 US9581021055 WESTERN DIGITAL CORPORATION 2,409 12,814,726704 US2600031080 DOVER CORP 1,233 12,801,317705 GB00B1KJJ408 WHITBREAD PLC 1,746 12,787,533706 CA8849037095 THOMSON REUTERS CORP 1,942 12,722,121707 DK0010274414 DANSKE BANK 6,488 12,615,631708 US5404241086 LOEWS CORP 2,377 12,610,298709 US2058871029 CONAGRA BRANDS INC 4,097 12,579,436710 US8923561067 TRACTOR SUPPLY COMPANY 1,158 12,530,214711 BMG5876H1051 MARVELL TECHNOLOGY GROUP LTD. 5,670 12,482,644712 US92220P1057 VARIAN MEDICAL SYSTEMS INC 795 12,470,591713 US48251W1045 KKR & CO INC-A 4,796 12,469,555714 US5705351048 MARKEL CORPORATION 113 12,460,377715 SE0000103699 HEXAGON AB-CLASS B 2,142 12,397,154716 US0357104092 ANNALY CAPITAL MANAGEMENT INC 11,178 12,359,996717 US12541W2098 C.H. ROBINSON WORLDWIDE, INC. 1,280 12,324,464718 AU000000NCM7 NEWCREST MINING LIMITED 6,138 12,311,146719 CA8787422044 TECK RESOURCES LTD. 4,800 12,296,436720 US35137L1052 FOX CORP-CLASS A 3,025 12,291,320721 US00751Y1064 ADVANCE AUTO PARTS, INC. 651 12,287,698722 GB00BMJ6DW54 INFORMA PLC 11,442 12,281,217723 CH0012549785 SONOVA HOLDING AG (REG) 560 12,261,039724 CA3039011026 FAIRFAX FINANCIAL HOLDINGS LIMITED 238 12,205,797725 US78467J1007 SS&C TECHNOLOGIES HOLDINGS INC 1,731 12,202,732726 GB00BY9D0Y18 DIRECT LINE INSURANCE GROUP PLC 23,855 12,145,179727 US94946T1060 WELLCARE HEALTH PLANS INC 406 12,122,055728 CH0002497458 SGS S.A. 44 12,117,890729 US11133T1034 BROADRIDGE FINANCIAL SOLUTIONS LLC 1,055 12,108,158730 GB0000536739 ASHTEAD GROUP PLC 4,531 12,106,041731 BMG667211046 NORWEGIAN CRUISE LINE HOLDINGS LTD. 1,986 12,081,329732 JE00B8KF9B49 WPP PLC 10,310 12,056,527733 KR7000210005 DAELIM INDUSTRIAL COMPANY 1,280 12,032,101734 US4364401012 HOLOGIC INC 2,241 12,005,382735 GB00B8W67B19 LIBERTY GLOBAL PLC-C 4,469 11,975,507736 SE0000242455 SWEDBANK AB 7,622 11,947,026737 US74834L1008 QUEST DIAGNOSTICS INCORPORATED 1,200 11,943,354

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738 DK0010181759 CARLSBERG AS-B 862 11,928,012739 US5529531015 MGM RESORTS INTERNATIONAL 4,199 11,925,903740 US45167R1041 IDEX CORP 710 11,924,692741 US1508701034 CELANESE CORPORATION SERIES-A 1,092 11,918,795742 US9026531049 UDR INC 2,368 11,915,160743 GB00BZ1G4322 MELROSE INDUSTRIES PLC 45,018 11,891,673744 US03073E1055 AMERISOURCEBERGEN CORPORATION 1,350 11,882,256745 US1270971039 CABOT OIL AND GAS CORP-CL A 4,101 11,847,290746 US8740391003 TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY (ADR) 2,600 11,787,509747 LU1598757687 ARCELORMITTAL 5,225 11,726,447748 US3802371076 GODADDY INC-CLASS A 1,408 11,717,946749 US5002551043 KOHL'S CORPORATION 1,535 11,684,124750 US5341871094 LINCOLN NATIONAL CORP 1,777 11,545,541751 GB00B0744B38 BUNZL PLC 3,146 11,488,736752 GB00BDCPN049 COCA-COLA EUROPEAN PARTNERS PLC 2,005 11,482,318753 ES0118900010 FERROVIAL SA 4,405 11,431,070754 NL0010773842 NN GROUP NV 2,480 11,413,422755 US2172041061 COPART INC 1,697 11,380,767756 FR0000130577 PUBLICIS GROUPE SA 1,916 11,365,733757 US1431301027 CARMAX INC 1,468 11,341,493758 DE000SYM9999 SYMRISE AG 1,136 11,339,986759 US4595061015 INTERNATIONAL FLAVORS AND FRAGRANCES, INC. 795 11,332,821760 US9290421091 VORNADO REALTY TRUST 1,517 11,323,792761 IT0003506190 ATLANTIA S.P.A. 3,941 11,309,434762 US60871R2094 MOLSON COORS BREWING CO. (CLASS-B) 1,704 11,250,421763 FR0000120172 CARREFOUR SA 5,429 11,234,263764 NL0010545661 CNH INDUSTRIAL NV 9,917 11,171,480765 US0495601058 ATMOS ENERGY CORP. 976 11,119,379766 US8740541094 TAKE-TWO INTERACTIVE SOFTWARE INC 1,062 11,092,954767 US00971T1016 AKAMAI TECHNOLOGIES, INC. 1,397 11,088,298768 GB0006731235 ASSOCIATED BRITISH FOODS GROUP 3,146 11,066,756769 US59522J1034 MID-AMERICA APARTMENT COMMUNITIES, INC. 914 11,060,488770 FR0000124141 VEOLIA ENVIRONNEMENT 4,461 11,049,688771 IT0003153415 SNAM SPA 19,405 11,043,197772 US2692464017 E TRADE FINANCIAL CORPORATION 2,148 11,038,796773 US6550441058 NOBLE ENERGY INC 3,964 10,850,419774 US1567001060 CENTURYLINK INC. 8,168 10,839,860775 AT0000652011 ERSTE GROUP BANK AG 2,631 10,712,115776 GB0031743007 BURBERRY GROUP PLC 3,795 10,697,870

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777 CA45823T1066 INTACT FINANCIAL CORPORATION 1,140 10,680,441778 US25754A2015 DOMINO'S PIZZA INC 372 10,627,221779 DE0005200000 BEIERSDORF AG-SERIES A B C 922 10,626,947780 AU000000QBE9 QBE INSURANCE GROUP LTD 10,949 10,597,261781 DE0006047004 HEIDELBERGCEMENT AG 1,327 10,581,464782 US6311031081 NASDAQ INC 1,090 10,555,375783 ES0105046009 AENA SME SA 529 10,552,156784 CA9628791027 WHEATON PRECIOUS METALS CORP 4,000 10,541,980785 US4851703029 KANSAS CITY SOUTHERN 818 10,500,867786 DE000A0D9PT0 MTU AERO ENGINES AG (REGD) 418 10,483,539787 US9831341071 WYNN RESORTS LIMITED 793 10,473,098788 KYG7800X1079 SANDS CHINA LTD 18,800 10,457,472789 US8865471085 TIFFANY AND CO. 893 10,432,741790 DK0060227585 CHRISTIAN HANSEN HOLDINGS A/S 928 10,421,965791 CA1247651088 CAE, INC. 4,220 10,352,598792 GB0032089863 NEXT PLC 1,286 10,349,634793 US8666741041 SUN COMMUNITIES INC 788 10,337,288794 CA82028K2002 SHAW COMMUNICATIONS INC 'B' SHS 4,480 10,322,325795 ES0116870314 GAS NATURAL SDG-E 3,326 10,305,167796 SE0011166628 ATLAS COPCO AB SERIES-B 3,734 10,253,018797 GB00BD8YWM01 MICRO FOCUS INTERNATIONAL 3,553 10,230,913798 CA6837151068 OPEN TEXT CORPORATION 2,400 10,202,622799 CA3809564097 GOLDCORP INC. 8,037 10,181,224800 ES0140609019 CAIXABANK 29,358 10,157,953801 PTEDP0AM0009 ENERGIAS DE PORTUGAL SA 23,272 10,137,532802 AU000000ALL7 ARISTOCRAT LEISURE LIMITED 5,247 10,111,498803 DE000PAH0038 PORSCHE AUTOMOBIL HOLDING SE (PFD) 1,452 10,094,843804 US4180561072 HASBRO INC 1,071 10,078,579805 AU0000030678 COLES GROUP LTD 10,815 10,076,414806 NL0000008977 HEINEKEN HOLDINGS NV 907 10,066,285807 GB00B8C3BL03 THE SAGE GROUP PLC 9,930 10,042,480808 HK0669013440 TECHTRONIC INDUSTRIES COMPANY LIMITED 13,500 10,041,026809 US69370C1009 PTC INC 981 10,009,087810 AU000000TLS2 TELSTRA CORPORATION LIMITED 38,163 9,961,890811 US0536111091 AVERY-DENNISON CORPORATION 796 9,955,894812 US0188021085 ALLIANT ENERGY CORPORATION 1,904 9,932,376813 US65473P1057 NISOURCE INC. 3,131 9,932,258814 US2521311074 DEXCOM INC 751 9,900,120815 US9026811052 UGI CORPORATION 1,605 9,845,331

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816 FR0010908533 EDENRED 1,949 9,827,144817 US3137472060 FEDERAL REALTY INVESTMENT TRUST 644 9,826,105818 US5303073051 LIBERTY BROADBAND CORP-C 967 9,819,151819 KR7001450006 HYUNDAI FIRE AND MARINE INSURANCE 2,653 9,804,624820 CA59162N1096 METRO INC. 2,400 9,783,064821 JE00B55Q3P39 GENEL ENERGY PLC 33,735 9,779,724822 GB00BYW0PQ60 LAND SECURITIES GROUP PLC 7,392 9,738,068823 CH0114405324 GARMIN LTD. 1,014 9,691,456824 US12503M1080 CBOE GLOBAL MARKETS INC 917 9,686,982825 CH0012255151 THE SWATCH GROUP AG (BEARER) 305 9,660,903826 US8760301072 TAPESTRY INC 2,686 9,659,274827 US1220171060 BURLINGTON STORES INC 556 9,642,221828 US87612G1013 TARGA RESOURCES CORP 2,095 9,634,824829 ES0173093024 RED ELECTRICA CORPORACION SA 4,080 9,634,391830 US92840M1027 VISTRA ENERGY CORP 3,338 9,617,213831 GB00BHJYC057 INTER CONTINENTAL HOTELS GROUP PLC 1,443 9,604,790832 US24906P1093 DENTSPLY SIRONA INC 1,746 9,583,565833 US2774321002 EASTMAN CHEMICAL COMPANY 1,134 9,524,214834 DK0010272202 GENMAB A/S 495 9,517,929835 CH0024638196 SCHINDLER HOLDING AG (PC) 414 9,496,926836 US62944T1051 NVR INC 31 9,494,227837 US0171751003 ALLEGHANY CORP 140 9,489,689838 NL0000009082 KONINKLIJKE KPN NV 26,956 9,467,561839 US48203R1041 JUNIPER NETWORKS, INC. 3,230 9,463,357840 US7588491032 REGENCY CENTERS CORPORATION 1,263 9,434,775841 US7547301090 RAYMOND JAMES FINANCIAL, INC. 1,057 9,407,491842 AU000000ASX7 ASX LIMITED 1,710 9,389,911843 US6951561090 PACKAGING CORP OF AMERICA 850 9,349,894844 US0126531013 ALBEMARLE CORPORATION 1,030 9,346,174845 US3024913036 F M C CORPORATION 1,099 9,344,601846 US4262811015 JACK HENRY & ASSOCIATES INC 608 9,336,713847 US25659T1079 DOLBY LABORATORIES INC. CLASS A 1,336 9,311,698848 CA15135U1093 CENOVUS ENERGY INC. 9,680 9,303,190849 FO0000000179 BAKKAFROST P/F 1,692 9,281,746850 HK0066009694 MTR CORPORATION LIMITED 13,500 9,251,068851 US6370711011 NATIONAL-OILWELL VARCO INC 3,121 9,202,731852 US61945C1036 THE MOSAIC COMPANY 3,036 9,177,243853 US46284V1017 IRON MOUNTAIN INC 2,332 9,152,843854 US3546131018 FRANKLIN RESOURCES INC. 2,493 9,144,575

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855 US02043Q1076 ALNYLAM PHARMACEUTICALS INC 878 9,081,604856 FR0000051807 TELEPERFORMANCE 456 9,078,996857 NL0012169213 QIAGEN N.V. 2,021 9,077,473858 CH0102484968 JULIUS BAER GROUP LTD 2,028 9,067,572859 GB00B033F229 CENTRICA PLC. 54,930 9,047,436860 US8330341012 SNAP-ON,INC. 521 9,026,020861 US8125781026 SEATTLE GENETICS, INC. 1,111 9,006,398862 HK0017000149 NEW WORLD DEVELOPMENT 49,000 8,995,575863 DK0010244508 AP MOLLER - MAERSK A/S -B 64 8,994,574864 NL0000226223 STMICROELECTRONICS N.V. 5,459 8,931,913865 BE0974264930 AGEAS 1,671 8,930,081866 GB0031638363 INTERTEK GROUP PLC 1,274 8,924,571867 IL0006046119 BANK LEUMI LE-ISRAEL 12,240 8,891,665868 US0185811082 ALLIANCE DATA SYSTEMS CORPORATION 459 8,889,756869 US8962391004 TRIMBLE INC 1,987 8,885,216870 AU000000STO6 SANTOS LTD 16,489 8,854,747871 US91879Q1094 VAIL RESORTS INC 368 8,851,080872 US7234841010 PINNACLE WEST CAPITAL CORPORATION 834 8,823,113873 US6374171063 NATIONAL RETAIL PROPERTIES INC 1,437 8,810,020874 DE0006048408 HENKEL AG AND CO. KGAA 836 8,805,550875 US5253271028 LEIDOS HOLDINGS INC 1,235 8,760,845876 AU000000AGL7 AGL ENERGY LTD 5,108 8,743,201877 DK0060336014 NOVOZYMES A/S B 1,715 8,736,567878 KYG9593A1040 WHARF REAL ESTATE INVESTMENT CO LTD 10,600 8,735,992879 US1924221039 COGNEX CORP 1,550 8,725,630880 GB0031215220 CARNIVAL PLC 1,606 8,720,881881 AU000000FMG4 FORTESCUE METALS GROUP LIMITED 15,599 8,720,221882 BMG507641022 JARDINE STRATEGIC HOLDINGS LTD 2,100 8,700,173883 US03965L1008 ALCOA, INC. 4,106 8,684,971884 GB00BZ4BQC70 JOHNSON, MATTHEY PLC 1,913 8,669,039885 NL0000303709 AEGON NV 16,278 8,666,844886 FR0000121220 SODEXO 710 8,661,705887 CH0010570759 CHOCOLADEFABRIKEN LINDT-REG 1 8,657,858888 GB00B5ZN1N88 SEGRO PLC 8,897 8,641,050889 US31620R3030 FNF GROUP 2,132 8,625,084890 US9113631090 UNITED RENTALS, INC. 679 8,586,471891 GB00BWFY5505 NIELSEN HOLDINGS PLC 3,270 8,567,118892 US4698141078 JACOBS ENGINEERING GROUP INC. 1,027 8,547,110893 ZAE000109815 STANDARD BANK GROUP LTD 6,010 8,544,205

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894 CA2925051047 ENCANA CORPORATION 10,631 8,526,053895 US5261071071 LENNOX INTERNATIONAL INC 291 8,516,148896 IE00BFRT3W74 ALLEGION PLC 848 8,514,120897 US00123Q1040 AGNC INVESTMENT CORP 4,270 8,507,249898 IE00B4Q5ZN47 JAZZ PHARMACEUTICALS PLC 537 8,496,639899 US5018892084 LKQ CORPORATION 2,695 8,465,642900 US8910271043 TORCHMARK CORP 932 8,453,832901 BE0974320526 UMICORE (POSTSPLIT) 1,712 8,423,639902 US8064071025 HENRY SCHEIN, INC. 1,266 8,423,046903 IE0002424939 DCC PLC 877 8,392,481904 US8581191009 STEEL DYNAMICS INC 2,145 8,373,779905 DE0008402215 HANNOVER RUECK SE 525 8,351,794906 US28414H1032 ELANCO ANIMAL HEALTH INC 2,351 8,345,269907 AU000000TWE9 TREASURY WINE ESTATES LTD 7,085 8,316,887908 CA5394811015 LOBLAW COMPANIES LTD 1,517 8,285,168909 US7512121010 RALPH LAUREN CORPORATION CLASS 'A' 577 8,282,044910 CA0084741085 AGNICO EAGLE MINES LTD 1,720 8,279,481911 CA25675T1075 DOLLARAMA INC. 2,800 8,270,202912 FI0009007132 FORTUM OYJ 3,648 8,265,174913 CH0012410517 BALOISE HOLDING AG 452 8,263,753914 US5380341090 LIVE NATION ENTERTAINMENT INC 1,173 8,249,620915 US92339V1008 VEREIT INC 8,841 8,190,598916 NO0010208051 YARA INTERNATIONAL ASA 1,806 8,189,384917 BMG4587L1090 HONG KONG LAND HOLDINGS LIMITED (SINGAPORE QUOTE) 10,400 8,184,491918 GB0000811801 BARRATT DEVELOPMENTS PLC 9,465 8,179,792919 AU000000MGR9 MIRVAC GROUP 37,811 8,175,456920 US46187W1071 INVITATION HOMES INC 3,035 8,173,151921 AU000000APA1 APA GROUP 10,410 8,168,502922 NO0003054108 MARINE HARVEST ASA 3,301 8,167,350923 GB00BFMBMT84 SENSATA TECHNOLOGIES HOLDINGS PLC 1,638 8,162,217924 NZATME0002S8 A2 MILK CO LTD 7,536 8,140,548925 US82968B1035 SIRIUS XM HOLDINGS INC 12,952 8,128,467926 AU000000GPT8 GPT GROUP 16,646 8,127,606927 US6936561009 PVH CORP 602 8,125,817928 KYG960071028 WH GROUP LTD 68,500 8,113,191929 US7703231032 ROBERT HALF INTERNATIONAL, INC. 1,120 8,077,702930 AU000000ORG5 ORIGIN ENERGY LTD 14,259 8,072,029931 HK0006000050 POWER ASSETS HOLDINGS LIMITED 10,500 8,061,373932 CA7392391016 POWER CORPORATION OF CANADA 3,120 8,054,722

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933 GB00BYZWX769 CRODA INTERNATIONAL PLC 1,108 8,050,961934 FR0000051732 ATOS SE 751 8,026,919935 DE000A1DAHH0 BRENNTAG AG 1,401 7,992,107936 FR0010242511 ELECTRICITE DE FRANCE 5,274 7,990,139937 US6708371033 OGE ENERGY CORP 1,672 7,980,016938 US78440X1019 SL GREEN REALTY CORP. 801 7,972,188939 US74736K1016 QORVO INC 1,004 7,971,192940 CH0012280076 STRAUMANN HOLDINGS AG (REGD) 88 7,946,558941 US40416M1053 HD SUPPLY HOLDINGS INC 1,656 7,945,810942 GB00BF8Q6K64 STANDARD LIFE ABERDEEN PLC 20,805 7,920,256943 US4464131063 HUNTINGTON INGALLS INDUSTRIES INC. 345 7,912,206944 US6081901042 MOHAWK INDUSTRIES, INC. 566 7,903,008945 CA39138C1068 GREAT-WEST LIFECO INC. 2,930 7,855,515946 US5312298541 LIBERTY MEDIA CORP-LIBERTY FORMULA ONE 2,023 7,848,247947 CA4530384086 IMPERIAL OIL LIMITED 2,590 7,828,042948 CNE1000003J5 JIANGSU EXPRESSWAY CO.-H 50,000 7,825,549949 BMG3223R1088 EVEREST RE GROUP, LTD. 327 7,816,455950 US49446R1095 KIMCO REALTY CORPORATION 3,814 7,809,822951 SG1J27887962 CAPITALAND LIMITED 26,100 7,784,722952 US4456581077 JB HUNT TRANSPORT SERVICES, INC. 694 7,780,630953 CH0025238863 KUEHNE AND NAGEL INTERNATIONAL AG(REG) 511 7,757,908954 AU000000DXS1 DEXUS (STAPLED) 7,743 7,756,036955 US94419L1017 WAYFAIR INC-CLASS A 472 7,755,520956 BMG169621056 BUNGE LIMITED 1,320 7,753,749957 US2473617023 DELTA AIR LINES, INC. 1,355 7,746,372958 US6795801009 OLD DOMINION FREIGHT LINE INC 484 7,735,194959 IL0006625771 BANK HAPOALIM LTD. 10,457 7,701,656960 DE000CBK1001 COMMERZBANK 8,977 7,698,229961 GB0008782301 TAYLOR WIMPEY PLC 30,391 7,690,387962 AU000000COH5 COCHLEAR LIMITED 563 7,670,399963 CA1380351009 CANOPY GROWTH CORP 1,600 7,664,726964 IT0003497168 TELECOM ITALIA SPA 110,992 7,647,603965 US5312296073 LIBERTY MEDIA CORP-SIRIUSXM-C 1,806 7,644,065966 US0844231029 W.R.BERKLEY CORPORATION 815 7,642,445967 AU000000SHL7 SONIC HEALTHCARE LIMITED 3,957 7,641,094968 SE0011088665 BOLIDEN AB 2,393 7,556,024969 FR0000120404 ACCOR 1,677 7,526,118970 ES0130670112 ENDESA S.A. 2,662 7,523,311971 US25470M1099 DISH NETWORK CORP. CLASS A 2,134 7,485,234

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972 IT0003242622 TERNA SPA 10,663 7,484,875973 ES0171996087 GRIFOLS S.A. 2,412 7,482,253974 IT0000062957 MEDIOBANCA S.P.A. 6,497 7,478,734975 US1638511089 CHEMOURS CO 1,818 7,477,533976 DK0010272632 GN STORE NORD A/S 1,452 7,469,308977 HK0012000102 HENDERSON LAND DEVELOPMENT COMPANY LTD. 10,561 7,430,661978 US1344291091 CAMPBELL SOUP COMPANY 1,759 7,423,717979 US02665T3068 AMERICAN HOMES 4 RENT CL 4 2,951 7,421,066980 US8318652091 SMITH (A.O.) CORPORATION 1,256 7,412,565981 CA8029121057 SAPUTO, INC. 1,960 7,396,785982 US4103451021 HANESBRANDS INC 3,731 7,383,827983 US5962781010 MIDDLEBY CORP 512 7,368,893984 LU0156801721 TENARIS S.A. 4,704 7,316,589985 US9598021098 WESTERN UNION COMPANY 3,576 7,310,602986 FR0013176526 VALEO 2,274 7,305,694987 US9837931008 XPO LOGISTICS INC 1,228 7,304,404988 CNE1000002G3 CHINA COMMUNICATIONS SERVICES CORPORATION LTD.-H 74,000 7,303,846989 NL0012969182 ADYEN N.V. 84 7,286,940990 ES0130960018 ENAGAS 2,252 7,260,204991 FI0009003727 WARTSILA OYJ 4,055 7,249,553992 FR0000130452 EIFFAGE 677 7,207,377993 US1717981013 CIMAREX ENERGY CO 927 7,172,089994 US4606901001 INTERPUBLIC GROUP OF COS INC 3,075 7,150,887995 DE0007165631 SARTORIUS AS 376 7,145,059996 CA05156X1087 AURORA CANNABIS INC 7,100 7,111,860997 CA0717341071 BAUSCH HEALTH COMPANIES INC 2,600 7,102,166998 AU000000RHC8 RAMSAY HEALTH CARE LIMITED 1,403 7,098,512999 US74915M1009 QURATE RETAIL INC 4,000 7,074,9851000 CA05534B7604 BCE INC 1,433 7,045,1831001 BE0003470755 SOLVAY (NO P/V) 586 7,019,3201002 CH0012138605 ADECCO GROUP AG(REG) 1,187 7,007,8011003 SE0011166933 EPIROC AB SERIES-A 6,245 6,994,7751004 CA73927C1005 POWER FINANCIAL CORPORATION 2,700 6,983,8551005 GB00B1WY2338 SMITHS GROUP PLC 3,372 6,978,9371006 BMG491BT1088 INVESCO LTD 3,236 6,916,3911007 GB00B1VZ0M25 HARGREAVES LANSDOWN PLC 2,558 6,875,1121008 US0259321042 AMERICAN FINANCIAL GROUP INC 640 6,815,3621009 FI0009005961 STORA ENSO OYJ 'R' 5,032 6,813,6271010 IE0004927939 KINGSPAN GROUP PLC 1,325 6,794,470

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1011 SE0000103814 ELECTROLUX AB (SER'B'-FREE) 2,373 6,765,1071012 GB00B1CRLC47 MONDI PLC 2,762 6,764,1181013 US10922N1037 BRIGHTHOUSE FINANCIAL INC 1,681 6,752,1701014 CA1249003098 CCL INDUSTRIES INC CLASS-B 1,500 6,723,3711015 FR0000120503 BOUYGUES 1,698 6,721,3671016 GB00B39J2M42 UNITED UTILITIES GROUP PLC 5,721 6,719,8491017 US82669G1040 SIGNATURE BANK 474 6,719,1521018 US55616P1049 MACY'S,INC. 2,525 6,715,8951019 IE00B1RR8406 SMURFIT KAPPA GROUP PLC 2,170 6,709,9701020 US7841171033 SEI INVESTMENTS COMPANY 1,151 6,656,5681021 AT0000743059 OMV AG 1,106 6,648,7761022 US6512291062 NEWELL BRANDS INC 3,901 6,623,5381023 US0528001094 AUTOLIV, INC. 812 6,608,5981024 FR0010411983 SCOR SE 1,400 6,604,8771025 FR0010040865 GECINA SA 403 6,601,3221026 US44980X1090 IPG PHOTONICS CORP 392 6,585,5091027 US23918K1088 DAVITA INC 1,089 6,543,8971028 GB0033195214 KING FISHER 19,321 6,543,0091029 US25470F3029 DISCOVERY COMMUNICATIONS INC. CLASS-C 2,325 6,541,6491030 SE0000695876 ALFA LAVAL AB 2,565 6,531,9461031 SE0008373906 INVESTMENT AB KINNEVIK-B 2,272 6,528,6831032 NL0000379121 RANDSTAD HOLDINGS N.V. 1,206 6,515,4951033 US5854641009 MELCO RESORTS & ENTERTAINMENT LTD 2,600 6,500,9721034 US0997241064 BORGWARNER, INC. 1,529 6,500,4071035 IL0002730112 NICE LTD 477 6,486,5791036 FR0010220475 ALSTOM 1,347 6,465,3251037 TW0005371009 CORETRONIC CORP 37,000 6,457,8361038 AU000000SGP0 STOCKLAND 21,322 6,454,3101039 DE0007500001 THYSSENKRUPP AG 4,240 6,452,6061040 CA45833V1094 INTER PIPELINE LTD 3,500 6,411,4361041 HK0019000162 SWIRE PACIFIC 'A' 4,500 6,408,4901042 GB0033986497 ITV PLC 34,934 6,403,8871043 US2283681060 CROWN HOLDINGS INC 1,055 6,372,2841044 US9841216081 XEROX CORP NEW 1,792 6,343,1531045 CH0364749348 VIFOR PHARMA AG 423 6,330,2331046 BE0003797140 GROUPE BRUXELLES LAMBERT SA 588 6,330,0331047 PG0008579883 OIL SEARCH LIMITED 10,248 6,325,1361048 US0427351004 ARROW ELECTRONICS INC. 741 6,320,2751049 US03852U1060 ARAMARK 1,929 6,309,260

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1050 GB00B1FH8J72 SEVERN TRENT PLC 2,207 6,289,8331051 PR7331747001 POPULAR INC 1,088 6,277,7691052 US3024451011 FLIR SYSTEMS, INC. 1,192 6,277,5391053 US01973R1014 ALLISON TRANSMISSION HLDGS INC 1,260 6,264,6821054 GB0031274896 MARKS AND SPENCER PLC 15,498 6,234,1031055 US5311721048 LIBERTY PROPERTY TRUST 1,154 6,184,7101056 CA09228F1036 BLACKBERRY LTD 5,540 6,182,6671057 US02156K1034 ALTICE USA INC-A 2,594 6,167,2701058 US6402681083 NEKTAR THERAPEUTICS 1,657 6,162,4091059 SE0000825820 LUNDIN PETROLEUM AB 1,637 6,149,5621060 GB0001367019 BRITISH LAND 7,225 6,137,6621061 AU000000TAH8 TABCORP HOLDINGS LIMITED 16,894 6,136,7101062 CA3759161035 GILDAN ACTIVEWEAR INC. CL-A 1,540 6,130,7361063 FR0000054470 UBISOFT ENTERTAINMENT SA 620 6,115,1041064 GB0006043169 MORRISON (WM.) SUPERMARKETS 18,617 6,109,9311065 CH0008038389 SWISS PRIME SITE 629 6,099,4281066 US4128221086 HARLEY DAVIDSON INC 1,540 6,078,4211067 GB0002652740 DERWENT LONDON PLC 1,307 6,075,5521068 US48020Q1076 JONES LANG LASALLE INC. 353 6,024,0901069 FR0006174348 BUREAU VERITAS SA 2,314 6,010,6321070 US12508E1010 CDK GLOBAL INC 923 6,009,1831071 FR0000121964 KLEPIERRE 1,548 5,998,7061072 SG1M51904654 CAPITALAND MALL TRUST 30,800 5,990,1461073 US9892071054 ZEBRA TECHNOLOGIES CORP-CLASS A 257 5,960,2991074 NL0000687663 AERCAP HOLDINGS NV 1,157 5,960,0301075 NL0012059018 EXOR NV 828 5,958,2591076 US34354P1057 FLOWSERVE CORPORATION 1,190 5,945,6211077 FI0009007884 ELISA OYJ 1,189 5,943,3921078 SE0000108227 S.K.F. AB-SER 'B' SWKR 12.5 FR 3,224 5,940,2281079 IE00BLS09M33 PENTAIR PLC 1,204 5,931,6131080 CH0198251305 COCA-COLA HBC AG-CDI 1,572 5,928,8991081 FR0010533075 GROUPE EUROTUNNEL SE-REGR 3,514 5,902,3951082 DE000UNSE018 UNIPER SE 1,764 5,895,2181083 US6907421019 OWENS CORNING NEW 1,128 5,883,0581084 SG1M77906915 ASCENDAS REAL ESTATE INVESTMENT TRUST 24,700 5,873,5361085 CA68272K1030 ONEX CORPORATION 940 5,870,6001086 US5017971046 L BRANDS INC 1,918 5,855,0631087 SE0005190238 TELE2 AB-B SHS 3,949 5,836,3851088 US2220702037 COTY INC-CL A 4,569 5,815,777

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1089 US4001101025 GRUBHUB INC 755 5,805,4111090 IE00B56GVS15 ALKERMES PLC 1,436 5,799,8541091 US91307C1027 UNITED THERAPEUTICS CORPORATION 446 5,794,0291092 US4234521015 HELMERICH AND PAYNE, INC. 940 5,780,6791093 GB0005758098 MEGGITT PLC 7,966 5,776,7741094 GB0007669376 ST. JAMES'S PLACE CAPITAL PLC 3,868 5,734,9471095 AU000000SYD9 SYDNEY AIRPORT 9,810 5,730,8491096 DE000A2AADD2 INNOGY SE 1,118 5,727,4361097 US47233W1099 JEFFERIES FINANCIAL GROUP INC 2,745 5,708,9711098 IE00BWT6H894 PADDY POWER BETFAIR PLC 663 5,664,9581099 SE0006993770 AXFOOD AB 2,733 5,642,1741100 CA1366812024 CANADIAN TIRE CORPORATION CLASS-A 470 5,606,9761101 LU1673108939 AROUNDTOWN SA 6,135 5,604,1841102 US4470111075 HUNTSMAN CORP 2,250 5,600,9371103 GB00BVYVFW23 AUTO TRADER GROUP PLC 7,435 5,593,3031104 AU000000BSL0 BLUESCOPE STEEL LTD 5,095 5,588,2971105 CA87971M1032 TELUS CORPORATION 1,360 5,573,0321106 FR0010340141 ADP 260 5,570,8451107 NO0005052605 NORSK HYDRO ASA 12,391 5,566,1951108 US92927K1025 WABCO HOLDINGS INC 377 5,501,0341109 DE000SHL1006 SIEMENS HEALTHINEERS AG 1,190 5,494,3491110 IE00BGH1M568 PERRIGO CO PLC 1,029 5,485,1761111 US0936711052 BLOCK (H AND R) 2,060 5,458,5851112 BMG2178K1009 CK INFRASTRUCTURE HOLDINDS LTD 6,000 5,452,5041113 CA92938W2022 WPS GLOBAL INC 900 5,445,5571114 HK0000063609 SWIRE PROPERTIES LIMITED 11,400 5,425,0091115 AU000000VCX7 VICINITY CENTRES 26,528 5,422,9921116 DK0060252690 PANDORA A/S 1,040 5,394,9331117 US7127041058 PEOPLE'S UNITED FINANCIAL INC. 2,964 5,393,4761118 US78573M1045 SABRE CORP 2,278 5,393,2831119 SG1U68934629 KEPPEL CORPORATION LTD. 10,600 5,387,7321120 GB0000456144 ANTOFAGASTA PLC 3,859 5,376,5261121 LU0088087324 SES 3,110 5,359,0861122 CA5054401073 LABRADOR IRON ORE ROYALITY CORP 2,200 5,355,1671123 CA9611485090 WESTON (GEORGE) LIMITED 665 5,294,1761124 US1255818015 CIT GROUP,INC. 996 5,288,3211125 CH0010570767 CHOCOLADEFABRIKEN LINDT-PC 7 5,266,9561126 BMG7496G1033 RENAISSANCERE HOLDINGS LTD. 331 5,257,3711127 NO0003733800 ORKLA ASA 6,178 5,256,671

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1128 IE00BD1RP616 BANK OF IRELAND GROUP PLC 7,964 5,255,7691129 FR0010259150 IPSEN 345 5,239,6321130 US3434121022 FLUOR CORPORATION 1,281 5,217,7791131 US7757111049 ROLLINS INC 1,132 5,214,7951132 AU000000CPU5 COMPUTERSHARE LIMITED 3,882 5,213,2011133 CA1367178326 CANADIAN UTILITIES LIMITED CLASS A 1,723 5,207,6121134 GB00BKKMKR23 RSA INSURANCE GROUP PLC 7,110 5,207,2941135 US00508Y1029 ACUITY BRANDS, INC. 391 5,193,7721136 IT0003796171 POSTE ITALIANE SPA 4,818 5,192,7401137 US3647601083 GAP INC 1,789 5,184,0441138 AU000000AWC3 ALUMINA LTD 27,097 5,155,8191139 AU000000AZJ1 AURIZON HOLDINGS LTD 14,395 5,149,7271140 GB00B019KW72 J. SAINSBURY PLC 15,130 5,143,3771141 SE0000113250 SKANSKA AB-SER'B' SWKR10 FREE 2,539 5,117,4441142 GB00B02J6398 ADMIRAL GROUP PLC 1,633 5,110,8801143 DE000EVNK013 EVONIK INDUSTRIES AG 1,685 5,084,6271144 SG1N31909426 COMFORTDELGRO CORP LTD 24,200 5,082,2761145 CH0016440353 EMS-CHEMIE HOLDING AG 84 5,041,3411146 US34964C1062 FORTUNE BRANDS HOME AND SECURITY INC 952 5,016,7661147 HK0000093390 HKT TRUST AND HKT LTD-SS 28,000 4,982,4071148 US8969452015 TRIPADVISOR INC. 874 4,977,2051149 US9100471096 UNITED CONTINENTAL HOLDINGS INC 563 4,971,5421150 IL0011301780 WIX.COM LTD 371 4,961,7791151 US35137L2043 FOX CORP-CLASS B 1,249 4,960,2501152 FR0000038259 EUROFINS SCIENTIFIC 108 4,952,9121153 NZFAPE0001S2 FISHER & PAYKEL HEALTHCARE CO LTD 4,171 4,943,2541154 HK0083000502 SINO LAND COMPANY 23,000 4,922,9051155 US6556641008 NORDSTROM, INC. 999 4,907,2881156 US85207U1051 SPRINT CORPORATION 7,817 4,888,5191157 HK0020000177 WHEELOCK AND COMPANY LIMITED 6,000 4,864,5301158 CA78460T1057 SNC-LAVALIN GROUP INC. 1,730 4,860,4041159 US04621X1081 ASSURANT, INC. 462 4,853,3621160 KR7020000006 HANDSOME CO LTD 1,096 4,761,1591161 AU000000JHX1 JAMES HARDIE INDUSTRIES PLC(CDI) 3,338 4,760,8521162 VGG1890L1076 CAPRI HOLDINGS LTD 939 4,754,9441163 AU000000ORI1 ORICA LIMITED 3,428 4,751,7571164 BE0003810273 PROXIMUS 1,486 4,748,2261165 DK0060542181 ISS A/S 1,407 4,743,2321166 US5246601075 LEGGETT AND PLATT INC. 1,015 4,743,217

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1167 ES0113860A34 BANCO DE SABADELL SA 42,740 4,715,8511168 AU000000AMP6 AMP LIMITED 28,470 4,700,7581169 SG1V61937297 SINGAPORE AIRLINES LTD. 5,940 4,688,9251170 ES0113679I37 BANCO INTERCONTINENTAL ESPANOL (BANKINTER) 5,540 4,675,0901171 US7310681025 POLARIS INDUSTRIES INC. 497 4,644,5311172 NZAIAE0002S6 AUCKLAND INTERNATIONAL AIRPORT LIMITED 7,550 4,639,2151173 CA4969024047 KINROSS GOLD CORPORATION 12,153 4,631,6941174 AU000000MPL3 MEDIBANK PRIVATE LTD 21,226 4,606,1531175 US7018771029 PARSLEY ENERGY INC-CLASS A 2,155 4,603,5551176 IT0005252207 DAVIDE CAMPARI-MILANO SPA 4,225 4,594,5741177 SG1P32918333 CAPITALAND COMMERCIAL TRUST (REIT) 28,500 4,518,1051178 BMG0750C1082 AXALTA COATING SYSTEMS LTD 1,618 4,514,8161179 US9043112062 UNDER ARMOUR INC-CLASS C 2,160 4,511,4321180 IT0003828271 RECORDATI SPA 1,039 4,482,0911181 US5770811025 MATTEL INC 3,090 4,446,2161182 CA4932711001 KEYERA CORP 1,700 4,438,0871183 US0082521081 AFFILIATED MANAGERS GROUP, INC. 373 4,422,0901184 FR0000121725 DASSAULT AVIATION SA 27 4,412,6551185 FR0000120685 NATIXIS 7,417 4,397,9291186 AT0000937503 VOESTALPINE AG 1,307 4,397,1811187 FR0010613471 SUEZ 2,995 4,395,9951188 FI0009005318 NOKIAN RENKAAT OYJ 1,180 4,376,1411189 GB00BV9FP302 COMPUTACENTER PLC 2,738 4,367,5551190 CA4480551031 HUSKY ENERGY INC. 3,965 4,352,6881191 SGXE21576413 GENTING SINGAPORE LTD 51,100 4,342,7411192 US98954M2008 ZILLOW GROUP INC - C 1,128 4,337,3821193 FR0004125920 AMUNDI SA 621 4,329,7711194 DE0007664005 VOLKSWAGEN AG 239 4,309,9851195 US20337X1090 COMMSCOPE HOLDING CO INC 1,791 4,307,6861196 CA4488112083 HYDRO ONE LTD 2,500 4,299,9741197 DE0005089031 UNITED INTERNET AG AND CO. KGAA (REGD) 1,062 4,293,5751198 SE0000163594 SECURITAS AB-B SHS 2,394 4,292,3921199 DE0005470405 LANXESS 726 4,289,4961200 NO0010345853 AKER BP ASA 1,085 4,281,2741201 FR0000125346 INGENICO GROUP 541 4,277,6121202 CA89156V1067 TOURMALINE OIL CORP. 2,500 4,275,1191203 SG0531000230 VENTURE CORP LTD 2,900 4,251,3821204 AU000000LLC3 LENDLEASE GROUP 4,358 4,241,9831205 DE0006969603 PUMA SE 66 4,240,772

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1206 CA9237251058 VERMILION ENERGY INC 1,550 4,236,5521207 FR0013280286 BIOMERIEUX 461 4,222,5901208 NZTELE0001S4 SPARK NEW ZEALAND LTD 14,714 4,220,7291209 IE00BF0L3536 AIB GROUP PLC 8,433 4,194,3991210 AU000000CTX1 CALTEX AUSTRALIA LIMITED 2,028 4,179,2281211 AU000000BLD2 BORAL LIMITED 11,519 4,157,0821212 CA13321L1085 CAMECO 3,185 4,156,1241213 DE0005190037 BAYERISCHE MOTOREN WERKE AG (PFD) 570 4,151,2891214 HK0014000126 HYSAN DEVELOPMENT 7,000 4,150,3611215 AU000000ILU1 ILUKA RESOURCES LIMITED 5,864 4,149,5171216 US0545611057 AXA EQUITABLE HOLDINGS INC 1,844 4,110,6371217 GB0009465807 THE WEIR GROUP PLC 1,825 4,100,9091218 GB00B8W67662 LIBERTY GLOBAL PLC-A 1,484 4,093,2721219 US07725L1026 BEIGENE LTD-ADR 280 4,090,9171220 IT0004176001 PRYSMIAN SPA 1,934 4,053,7161221 IT0003856405 LEONARDO SPA 3,148 4,053,2641222 DE000A1PHFF7 HUGO BOSS AG 535 4,047,9851223 DE000TUAG000 TUI AG-DI 3,801 4,032,6401224 CH0009002962 BARRY CALLEBAUT AG 20 3,996,6181225 GB00B02L3W35 BERKELEY GROUP HOLDINGS-UNIT 745 3,963,8271226 CA5503721063 LUNDIN MINING CORP 7,700 3,955,3141227 BMG524401079 KERRY PROPERTIES LTD. 8,000 3,953,6651228 DK0060738599 WILLIAM DEMANT HOLDING 1,205 3,947,9111229 AU000000SEK6 SEEK LTD 2,857 3,940,0431230 CH0012142631 CLARIANT AG (REGD) 1,692 3,935,8871231 DE000ZAL1111 ZALANDO SE 909 3,925,8091232 SG1T56930848 WILMAR INTERNATIONAL LTD. 14,500 3,921,9831233 US4990491049 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 1,083 3,917,4121234 IM00B5VQMV65 GVC HOLDINGS PLC 4,857 3,915,8831235 AT0000606306 RAIFFEISEN BANK INTERNATIONAL AG 1,568 3,899,4521236 HK0086000525 SUN HUNG KAI & CO LTD 70,000 3,888,8041237 SG9999000020 FLEX LTD 3,490 3,862,9061238 US2120151012 CONTINENTAL RESOURCES, INC. 779 3,860,2311239 NZMELE0002S7 MERIDIAN ENERGY LTD 12,050 3,806,7611240 GB00B5N0P849 WOOD GROUP (JOHN) PLC 5,178 3,789,3291241 HK0101000591 HANG LUNG PROPERTIES LIMITED 14,000 3,782,2081242 FR0000121147 FAURECIA 807 3,759,0971243 US5543821012 THE MACERICH COMPANY 781 3,747,3901244 FI0009014377 ORION OYJ 899 3,734,020

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1245 HK0000179108 HK ELECTRIC INVESTMENTS -SS 33,000 3,731,7291246 HK0883013259 CNOOC LIMITED 18,000 3,730,8831247 NL0009432491 KONINKLIJKE VOPAK NV 703 3,727,2341248 BE0974256852 COLRUYT SA 455 3,726,5531249 ES0113307062 BANKIA S.A. 12,966 3,722,4461250 SE0001662230 HUSQVARNA AB-B 4,096 3,711,8571251 GB0002405495 SCHRODERS PLC-NEW 951 3,706,0871252 FR0000039299 BOLLORE 7,291 3,649,9511253 SE0001174970 MILLICOM INTERNATIONAL CELLULAR S.A. (SDR) 538 3,624,1571254 CH0024638212 SCHINDLER HOLDING AG (REG) 158 3,617,4061255 FR0000120222 CNP ASSURANCES 1,478 3,603,9931256 FR0000064578 FONCIERE DES REGIONS 305 3,585,9271257 SG1J26887955 SINGAPORE EXCHANGE LTD 6,000 3,584,0851258 US9043111072 UNDER ARMOUR, INC. CLASS A 1,531 3,582,3571259 KYG0535Q1331 ASM PACIFIC TECHNOLOGY 2,900 3,579,9421260 HK0010000088 HANG LUNG GROUP LIMITED 10,000 3,553,2221261 US3825501014 GOODYEAR TIRE AND RUBBER COMPANY 1,760 3,535,7211262 HK0023000190 BANK OF EAST ASIA LTD 9,800 3,523,6121263 FR0000121709 SEB SA 187 3,486,1281264 US72651A2078 PLAINS GP HOLDINGS LP-CL A 1,257 3,467,1451265 GB00B2QPKJ12 FRESNILLO PLC 2,757 3,462,6221266 AU000000CCL2 COCA COLA AMATIL 5,074 3,450,8631267 DE000A2E4K43 DELIVERY HERO SE 862 3,449,6391268 TW0002404001 UNITED INTEGRATED SERVICES CO LTD 8,800 3,428,9521269 DE000LED4000 OSRAM LICHT AG 896 3,416,4401270 PTJMT0AE0001 ESTABELECIMENTOS JERONIMO MARTINS AND FILHO SGPS 2,080 3,399,3791271 DE000KGX8881 KION GROUP AG 587 3,398,9221272 AU000000IPL1 INCITEC PIVOT LIMITED 13,841 3,395,3391273 FR0000130395 REMY COINTREAU SA 229 3,383,9801274 NZFBUE0001S0 FLETCHER BUILDING LIMITED 9,031 3,374,5361275 US0235861004 AMERCO INC 82 3,371,8871276 GB00BDVZYZ77 ROYAL MAIL PLC 9,771 3,358,2481277 FR0013154002 SARTORIUS STEDIM BIOTECH 239 3,353,5311278 CA0213611001 ALTAGAS LTD 2,300 3,351,9091279 SE0000107203 INDUSTRIVARDEN AB CL-C 1,434 3,332,6321280 GB00B01FLG62 G4S PLC 12,527 3,315,3781281 DK0010287234 H.LUNDBECK A/S 691 3,313,0331282 DE000PSM7770 PROSIEBENSAT.1 MEDIA SE 2,091 3,305,6101283 SG1S83002349 UOL GROUP LIMITED 5,800 3,293,992

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1284 SG1U76934819 YANGZIJIANG SHIPBUILDING HOLDINGS LIMITED 26,800 3,285,0031285 DE0006602006 GEA GROUP AG 1,128 3,273,4551286 SG1R89002252 CITY DEVELOPMENT 4,400 3,253,9511287 US02376R1023 AMERICAN AIRLINES GROUP INC 920 3,234,1271288 CA9528451052 WEST FRASER TIMBER CO. LTD. 600 3,231,1951289 GB00B17BBQ50 INVESTEC PLC 5,034 3,211,2931290 SE0011166941 EPIROC AB SERIES-B 3,023 3,210,6201291 SG1F60858221 SINGAPORE TECHNOLOGIES ENGINEERING LTD 10,500 3,209,0061292 NO0010736879 SCHIBSTED ASA-B 806 3,201,0941293 US2782651036 EATON VANCE CORPORATION 713 3,181,2001294 ES0143416115 SIEMENS GAMESA RENEWABLE ENERGY SA 1,802 3,179,0741295 DK0060636678 TRYG A/S 1,040 3,161,4721296 BMG2624N1535 DAIRY FARM INTERNATIONAL HOLDINGS LTD 3,400 3,157,4001297 GB0004065016 HAMMERSON PLC 6,514 3,154,8461298 AU000000CIM7 CIMIC GROUP LTD 831 3,153,1851299 CA59151K1084 METHANEX CORPORATION 500 3,144,2011300 GB00BDZT6P94 MERLIN ENTERTAINMENTS PLC 6,282 3,110,4381301 US11282X1037 BROOKFIELD PROPERTY REIT INC-A 1,365 3,095,7321302 FI0009007835 METSO OYJ 809 3,082,6991303 NZRYME0001S4 RYMAN HEALTHCARE LIMITED 3,322 3,071,9121304 IL0010811243 ELBIT SYSTEMS LTD 214 3,064,7971305 IL0002810146 ISRAEL CHEMICALS LIMITED 5,174 3,028,0371306 FR0004035913 ILIAD S.A. 270 3,003,2901307 DE0006070006 HOCHTIEF AG 187 2,998,0701308 IT0005278236 PIRELLI & C. SPA 4,159 2,965,9231309 AU000000DMP0 DOMINO'S PIZZA ENTERPRISES LIMITED 865 2,953,0241310 FR0000121204 WENDEL 211 2,944,9141311 KYG245241032 COUNTRY GARDEN HLD 17,000 2,938,7401312 US5128161099 LAMAR ADVERTISING CO-A 330 2,895,0541313 AU000000BEN6 BENDIGO AND ADELAIDE BANK LTD 3,800 2,892,1451314 HK0008011667 PCCW LTD 42,000 2,889,9541315 CA3180714048 FINNING INTERNATIONAL INC. 1,460 2,874,0731316 HK0004000045 WHARF HOLDING 8,600 2,873,8801317 US5312294094 LIBERTY MEDIA CORP-SIRIUSXM-A 680 2,873,6481318 CA45075E1043 IA FINANCIAL CORPORATION INC 700 2,858,0331319 FR0000121121 EURAZEO 340 2,831,1581320 FR0010221234 EUTELSAT COMMUNICATIONS 1,459 2,827,8161321 DK0010244425 AP MOLLER - MAERSK A/S -A 21 2,814,3001322 CA00208D4084 ARC RESOURCES LTD. 3,690 2,788,173

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1323 KYG6145U1094 MINTH GROUP LTD 8,000 2,786,1771324 DE0005790430 FUCHS PETROLUB SE-PREF (PFD) 610 2,782,3151325 AT0000730007 ANDRITZ AG 583 2,770,7471326 AU000000WOR2 WORLEY PARSONS LTD 2,470 2,749,9281327 SE0000652216 ICA GRUPPEN AB(IFAB) 611 2,719,6361328 KYG981491007 WYNN MACAU LTD 10,400 2,712,8571329 CA85570W1005 THE STARS GROUP INC 1,400 2,709,5641330 SG1B51001017 JARDINE CYCLE AND CARRIAGE LTD 1,000 2,654,9691331 GB00B7FC0762 NMC HEALTH PLC 797 2,625,4531332 AU000000CGF5 CHALLENGER LIMITED 4,030 2,623,5931333 DE000A1J5RX9 TELEFONICA DEUTSCHLAND HOLDING AG 7,536 2,621,5261334 ES0124244E34 MAPFRE S.A. 8,586 2,620,7751335 CA7397211086 PRAIRIESKY ROYALTY LTD 1,747 2,605,3371336 NO0010582521 GJENSIDIGE FORSIKRING ASA 1,353 2,591,1281337 DE0005773303 FRAPORT AG 305 2,586,7191338 FR0010451203 REXEL SA 2,057 2,570,5551339 SG1Q52922370 SUNTEC REIT 16,000 2,549,5541340 AU000000REA9 REA GROUP LIMITED 432 2,537,2631341 CH0023405456 DUFRY AG-REG 212 2,464,5661342 LU0061462528 RTL GROUP 407 2,463,3941343 FR0000035081 ICADE 259 2,427,0661344 CA7669101031 RIOCAN REAL ESTATE INVESTMENT TRUST 1,100 2,412,3771345 KYG607441022 MGM CHINA HOLDINGS LTD. 10,400 2,407,8441346 GB00BD3VFW73 CONVATEC GROUP PLC 11,712 2,391,0621347 BE0003826436 TELENET GROUP HOLDING NV 440 2,344,8651348 DE000BFB0019 METRO AG (NEW) 1,275 2,343,6291349 BMG8063F1068 SHANGRI-LA ASIA LIMITED 14,888 2,342,7311350 AT0000746409 VERBUND AG 440 2,339,3971351 AU000000SOL3 WASHINGTON H. SOUL PATTINSON 1,125 2,327,2041352 SG1P66918738 SINGAPORE PRESS HOLDINGS LTD. 11,700 2,304,1601353 BMG668971101 NWS HOLDINGS LIMITED 9,500 2,298,5961354 NO0003096208 LEROY SEAFOOD GROUP ASA 2,837 2,281,1871355 AU000000CWN6 CROWN RESORTS LIMITED 2,494 2,257,0071356 CA0467894006 ATCO LTD. CLASS I 600 2,236,9811357 DE0005545503 1&1 DRILLISCH AG 559 2,205,1041358 DE0005501357 AXEL SPRINGER SE 380 2,174,3491359 SG1I52882764 SATS LTD 5,200 2,171,3701360 FR0000120859 IMERYS 389 2,148,4941361 CA4039254079 H&R REAL ESTATE INVESTMENT TRUST 1,100 2,133,500

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1362 IL0006954379 MIZRAHI TEFAHOT BANK LTD 918 2,088,5331363 CA1254911003 CI FINANCIAL CORP 1,381 2,086,9741364 IL0002300114 BEZEQ ISRAELI TELECOMMUNICATION CORPORATION LTD. 26,244 2,041,7391365 GB00B7KR2P84 EASYJET PLC 1,224 1,972,7801366 US9604131022 WESTLAKE CHEMICAL CORPORATION 257 1,930,3481367 CA81783Q1054 SEVEN GENERATIONS ENERGY LTD-A 2,400 1,918,8321368 FR0000125585 CASINO GUICHARD PERRACHON 397 1,906,9991369 BMG988031446 YUE YUEN INDUSTRIAL HOLDINGS 5,000 1,903,5121370 FR0000077919 JC DECAUX S.A. 552 1,860,5411371 CA4495861060 IGM FINANCIAL INC 630 1,794,5061372 CA31943B1004 FIRST CAPITAL REALTY INC 1,000 1,773,0141373 IT0003497176 TELECOM ITALIA SPA (SV) 28,139 1,770,9761374 AU000000BOQ8 BANK OF QUEENSLAND LIMITED 2,458 1,758,6701375 CH0012255144 THE SWATCH GROUP AG NEUENBURG (REGISTERED) 287 1,757,5451376 CH0021783391 PARGESA HOLDING (BR) 200 1,733,7941377 AU000000FLT9 FLIGHT CENTRE TRAVEL GROUP LTD 519 1,715,9101378 CA2908761018 EMERA INC 400 1,656,0281379 FR0000120966 BIC 161 1,589,7551380 IL0011194789 AZRIELI GROUP 236 1,525,1161381 HK0880043028 SJM HOLDINGS LIMITED 12,000 1,516,0411382 GB0009697037 BABCOCK INTERNATIONAL GROUP PLC 2,122 1,510,3661383 SE0000108847 LUNDBERGS AB-B SHS 428 1,501,5911384 SG1R50925390 SEMBCORP INDUSTRIES LIMITED 6,880 1,433,6341385 AU000000TPM6 TPG TELECOM LIMITED 2,540 1,387,9681386 AU000000AST5 AUSNET SERVICES 8,413 1,174,1141387 CA9004351081 TURQUOISE HILL RESOURCES LTD 5,610 1,022,5481388 MU0117U00026 GOLDEN AGRI-RESOURCES LTD 37,200 851,1591389 AU000000HVN7 HARVEY NORMAN HOLDINGS LIMITED 2,584 816,7321390 CA83179X1087 SMARTCENTRES REAL ESTATE INVESTMENT TRUST 200 580,123

57,054,369,094合計