NISA INVESTMENT ADVISORS, LLC Q3 2018 Filing

Filed October 16, 2018

Portfolio Value

$11.0B

Holdings

1,969

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (1,969 positions)

StockValue
KHCKRAFT HEINZ CO/THE
$11.1M
PEOEXELON CORP
$11.1M
DALDELTA AIR LINES INC
$10.9M
PCARPACCAR INC
$10.9M
HALHALLIBURTON CO
$10.8M
ZBHZIMMER BIOMET HOLDINGS INC
$10.7M
AVBAVALONBAY COMMUNITIES INC
$10.6M
ABGAMERISOURCEBERGEN CORP
$10.6M
WCGEURWELLCARE HEALTH PLANS INC
$10.5M
WSTWEST PHARMACEUTICAL SERVICES I
$10.2M
VGKVANGUARD FTSE EUROPE ETF
$10.2M
FTVFORTIVE CORP
$10.1M
TROWT ROWE PRICE GROUP INC
$10.0M
RFREGIONS FINL CORP (NEW)
$10.0M
KMIKINDER MORGAN INC
$9.9M
PAYXPAYCHEX INC
$9.8M
GISGENERAL MILLS INC
$9.6M
PXDEURPIONEER NATURAL RESOURCES CO
$9.6M
IPINTERNATIONAL PAPER CO
$9.5M
WMWASTE MANAGEMENT INC
$9.5M
KRKROGER CO/THE
$9.2M
LRCXEURLAM RESEARCH CORP
$9.2M
HPHELMERICH & PAYNE INC
$9.2M
RCLROYAL CARIBBEAN CRUISES LTD
$9.1M
A4SAMERIPRISE FINANCIAL INC
$9.0M
AABAUSDALTABA INC
$9.0M
UALUNITED CONTINENTAL HOLDINGS IN
$9.0M
AFGAMERICAN FINL GROUP INC
$8.9M
AKXANSYS INC
$8.9M
CPRTCOPART INC
$8.9M
COOCOOPER COS INC/THE
$8.8M
WMBWILLIAMS COS INC/THE
$8.8M
LABORATORY CORP OF AMERICA HOL
$8.8M
REGNREGENERON PHARMACEUTICALS INC
$8.7M
NTAPNETAPP INC
$8.7M
WATWATERS CORP
$8.7M
PHPARKER-HANNIFIN CORP
$8.7M
DDOMINION RES INC VA
$8.6M
EMNEASTMAN CHEM CO
$8.6M
AMDADVANCED MICRO DEVICES INC
$8.6M
PKNPERKIN ELMER INC
$8.5M
NOVEURNATIONAL OILWELL VARCO INC
$8.5M
XLNXEURXILINX INC
$8.4M
MAAMID-AMERICA APARTMENT COMMUNIT
$8.3M
PPLPPL CORP
$8.3M
VEAVANGUARD FTSE DEVELOPED MARKETS ETF
$8.2M
WDCWESTERN DIGITAL CORP
$8.2M
WABWABTEC CORP/DE
$8.2M
TELTE CONNECTIVITY LTD
$8.1M
GWWWW GRAINGER INC
$8.1M
MNSTMONSTER BEVERAGE CORP
$8.0M
CLSCA INC
$8.0M
CLXCLOROX CO/THE
$8.0M
DRIDARDEN RESTAURANTS INC
$8.0M
HESHESS CORP
$7.9M
MXIMMAXIM INTEGRATED PRODUCTS INC
$7.8M
OREALTY INCOME CORP
$7.8M
NUENUCOR CORP
$7.8M
HCAHCA HEALTHCARE INC
$7.8M
AESAES CORP/VA
$7.8M
HSYHERSHEY CO/THE
$7.7M
CTLEURCENTURYLINK INC
$7.7M
VRSNVERISIGN INC
$7.7M
WYWEYERHAEUSER CO
$7.7M
LVSLAS VEGAS SANDS CORP
$7.7M
FFORD MOTOR CO
$7.7M
KMXCARMAX INC
$7.7M
FMCFMC CORP
$7.6M
AG8AGILENT TECHNOLOGIES INC
$7.5M
SWKSTANLEY BLACK & DECKER INC
$7.5M
ALXNALEXION PHARMACEUTICALS INC
$7.5M
SOSOUTHERN CO/THE
$7.4M
CNPCENTERPOINT ENERGY INC
$7.3M
9990302DAPACHE CORP
$7.3M
PSAPUBLIC STORAGE
$7.3M
ADSKAUTODESK INC
$7.2M
UI2KEMPER CORP
$7.2M
IEXIDEX CORP
$7.1M
TMKTORCHMARK CORP
$7.1M
SRESEMPRA ENERGY
$7.1M
BRBROADRIDGE FINANCIAL SOLUTIONS
$7.1M
PEGPUBLIC SERVICE ENTERPRISE GROU
$7.0M
ZBRAZEBRA TECHNOLOGIES CORP
$7.0M
DXCDXC TECHNOLOGY CO
$7.0M
VENVENTAS INC
$7.0M
SLG2EURSL GREEN REALTY CORP
$6.9M
SIVBEURSVB FINANCIAL GROUP
$6.8M
BF/BBROWN-FORMAN CORP
$6.8M
BXPBOSTON PROPERTIES INC
$6.8M
DOVDOVER CORP
$6.8M
HIGITT HARTFORD GROUP INC
$6.7M
CAHCARDINAL HEALTH INC
$6.7M
CERNCHFCERNER CORP
$6.7M
LYBLYONDELLBASELL INDUSTRIES NV
$6.7M
VAREURVARIAN MEDICAL SYSTEMS INC
$6.7M
OMCOMNICOM GROUP INC
$6.7M
VPLVANGUARD FTSE PACIFIC ETF
$6.7M
TSNTYSON FOODS INC
$6.7M
DVNDEVON ENERGY CORP
$6.7M
TXTTEXTRON INC
$6.7M
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