
NOMURA ASSET MANAGEMENT SINGAPORE LTD
Latest 13F filing data - Q3 2012
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | KO | 371K | $14.09K |
![]() | CSCO | 353K | $6.74K |
![]() | MSFT | 337K | $10.03K |
![]() | XYL | 249K | $6.27K |
![]() | MRK | 238K | $10.73K |
![]() | HPQ | 210K | $3.57K |
![]() | XOM | 197K | $18.00K |
![]() | ORCL | 173K | $5.46K |
![]() | HD | 171K | $10.34K |
![]() | TEL | 163K | $5.54K |
![]() | A | 163K | $6.25K |
![]() | JNJ | 158K | $10.90K |
![]() | PG | 146K | $10.10K |
![]() | DD | 127K | $6.40K |
![]() | IFF | 127K | $7.57K |
![]() | NOV | 124K | $9.94K |
![]() | TMO | 120K | $7.08K |
![]() | VZ | 116K | $5.29K |
![]() | APH | 112K | $6.59K |
![]() | DLTR | 107K | $5.15K |

The Coca-Cola Company
KO
Shares Held
371K
Value
$14.09K

Cisco Systems, Inc.
CSCO
Shares Held
353K
Value
$6.74K

Microsoft Corporation
MSFT
Shares Held
337K
Value
$10.03K

Xylem Inc.
XYL
Shares Held
249K
Value
$6.27K

Merck & Co., Inc.
MRK
Shares Held
238K
Value
$10.73K

HP Inc.
HPQ
Shares Held
210K
Value
$3.57K

Exxon Mobil Corporation
XOM
Shares Held
197K
Value
$18.00K

Oracle Corporation
ORCL
Shares Held
173K
Value
$5.46K

The Home Depot, Inc.
HD
Shares Held
171K
Value
$10.34K

TE Connectivity Ltd.
TEL
Shares Held
163K
Value
$5.54K

Agilent Technologies, Inc.
A
Shares Held
163K
Value
$6.25K

Johnson & Johnson
JNJ
Shares Held
158K
Value
$10.90K

The Procter & Gamble Company
PG
Shares Held
146K
Value
$10.10K

DuPont de Nemours, Inc.
DD
Shares Held
127K
Value
$6.40K

International Flavors & Fragrances Inc.
IFF
Shares Held
127K
Value
$7.57K

NOV Inc.
NOV
Shares Held
124K
Value
$9.94K

Thermo Fisher Scientific Inc.
TMO
Shares Held
120K
Value
$7.08K

Verizon Communications Inc.
VZ
Shares Held
116K
Value
$5.29K

Amphenol Corporation
APH
Shares Held
112K
Value
$6.59K

Dollar Tree, Inc.
DLTR
Shares Held
107K
Value
$5.15K
