Q3 2014 13F Detailed Holdings
        
       
      
        
    
      
- 
        Location
      
- 
        London, United Kingdom
      
      
- 
        Holdings as of
      
- 
        9/30/2014
      
      
- 
        Value ($000)
      
- 
        $74,917,279
      
      
- 
        Num holdings
      
- 
        2,901
      
      
- 
        Date filed
      
- 
        11/13/2014
      
      
- 
        Form type
      
- 
        13F-HR
      
      - 
        Note
      
- 
        
      Holdings broken out by “other managers” reported in original SEC filing,
      see here
      for holdings aggregated across other managers
    
      
 
 
     
   
    
      
    
 
  
    
  
  
  
  
    
      
        | Sym | Issuer Name | Cl | CUSIP | Value ($000) | % | Shares | Principal | Option Type | Discretion | Other Manager | Sole | Shared | None | 
    
    
    
  
 
  
    Other Managers
  
  
    
      
        | Num | Name | File Number | 
    
    
        
          | 1 | SCHRODER INVESTMENT MANAGEMENT NORTH AMERICA INC/ DE | 028-04731-01 | 
        
          | 2 | Schroder Investment Management North America Ltd |  | 
        
          | 3 | Schroder Investment Management Ltd. |  | 
        
          | 4 | SCHRODER INVESTMENT MANAGEMENT HONG KONG LTD |  | 
        
          | 5 | SCHRODER INVESTMENT MANAGEMENT JAPAN LTD |  | 
        
          | 6 | SCHRODER INVESTMENT MANAGEMENT SINGAPORE LTD |  | 
        
          | 7 | Schroder & Co Limited |  | 
        
          | 8 | Schroder Investment Management Switzerland AG (Swiss Funds) |  | 
        
          | 9 | Schroder Channel Islands |  |