SECURIAN ASSET MANAGEMENT, INC Q1 2017 Filing

Filed May 11, 2017

Portfolio Value

$3.7T

Holdings

980

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (980 positions)

#StockSharesValue% PortfolioType
401
FEFirstEnergy Corp
44,382$1.4B0.04%
402
BFHAlliance Data Systems Corp
5,604$1.4B0.04%
403
HRSEURHarris Corp
12,533$1.4B0.04%
404
Nielsen Holdings PLC
33,691$1.4B0.04%
405
AWCAmerican Water Works Co Inc
17,841$1.4B0.04%
406
GPCGenuine Parts Co
14,926$1.4B0.04%
407
IDXXIDEXX Laboratories Inc
8,901$1.4B0.04%
408
HSICHenry Schein Inc
8,064$1.4B0.04%
409
ETREntergy Corp
17,951$1.4B0.04%
410
Seagate Technology PLC
29,588$1.4B0.04%
411
CMGChipotle Mexican Grill Inc
3,034$1.4B0.04%
412
SCANA Corp
20,674$1.4B0.04%
413
DGXQuest Diagnostics Inc
13,755$1.4B0.04%
414
MRO*Marathon Oil Corp
85,150$1.3B0.04%
415
BBYBest Buy Co Inc
27,071$1.3B0.04%
416
AEEAmeren Corp
24,289$1.3B0.04%
417
CTXSEURCitrix Systems Inc
15,740$1.3B0.04%
418
RMEResMed Inc
18,137$1.3B0.03%
419
HESHess Corp
26,982$1.3B0.03%
420
WRKUSDWestRock Co
25,002$1.3B0.03%
421
GWWWW Grainger Inc
5,587$1.3B0.03%
422
BALLBall Corp
17,495$1.3B0.03%
423
EnLink Midstream Partners LP
70,888$1.3B0.03%
424
LLoews Corp
27,671$1.3B0.03%
425
CTLEURCenturyLink Inc
54,836$1.3B0.03%
426
TXTTextron Inc
27,039$1.3B0.03%
427
L3 Technologies Inc
7,764$1.3B0.03%
428
MTDMettler-Toledo International Inc
2,676$1.3B0.03%
429
PowerShares DB Commodity Index Tracking Fund
84,200$1.3B0.03%
430
Rockwell Collins Inc
13,144$1.3B0.03%
431
WhiteWave Foods Co/The
22,691$1.3B0.03%
432
CHDChurch & Dwight Co Inc
25,526$1.3B0.03%
433
WHRWhirlpool Corp
7,418$1.3B0.03%
434
WATWaters Corp
8,083$1.3B0.03%
435
VRSKVerisk Analytics Inc
15,529$1.3B0.03%
436
CMSCMS Energy Corp
28,016$1.3B0.03%
437
DOVDover Corp
15,530$1.2B0.03%
438
Computer Sciences Corp
18,081$1.2B0.03%
439
SIVBEURSVB Financial Group
6,698$1.2B0.03%
440
Invesco Ltd
40,519$1.2B0.03%
441
GPNGlobal Payments Inc
15,378$1.2B0.03%
442
AMEAMETEK Inc
22,875$1.2B0.03%
443
VTTI Energy Partners LP
64,900$1.2B0.03%
444
XLUUtilities Select Sector SPDR Fund
24,000$1.2B0.03%
445
CNCCentene Corp
17,196$1.2B0.03%
446
Everest Re Group Ltd
5,235$1.2B0.03%
447
YUSDAlleghany Corp
1,969$1.2B0.03%
448
CMAComerica Inc
17,602$1.2B0.03%
449
CDKCDK Global Inc
18,480$1.2B0.03%
450
CNPCenterPoint Energy Inc
43,232$1.2B0.03%
451
ALBAlbemarle Corp
11,286$1.2B0.03%
452
HOLXHologic Inc
27,936$1.2B0.03%
453
EMNEastman Chemical Co
14,632$1.2B0.03%
454
HIIHuntington Ingalls Industries Inc
5,894$1.2B0.03%
455
AKXANSYS Inc
10,931$1.2B0.03%
456
ARNCCHFArconic Inc
44,275$1.2B0.03%
457
OKEONEOK Inc
21,021$1.2B0.03%
458
Coach Inc
28,057$1.2B0.03%
459
ALKAlaska Air Group Inc
12,433$1.1B0.03%
460
ITGartner Inc
10,583$1.1B0.03%
461
XECEURCimarex Energy Co
9,558$1.1B0.03%
462
CTRACabot Oil & Gas Corp
47,724$1.1B0.03%
463
NTAPNetApp Inc
27,221$1.1B0.03%
464
DHIDR Horton Inc
34,045$1.1B0.03%
465
DPZDomino's Pizza Inc
6,153$1.1B0.03%
466
AMDAdvanced Micro Devices Inc
77,709$1.1B0.03%
467
UHSUniversal Health Services Inc
9,069$1.1B0.03%
468
LBEURL Brands Inc
23,928$1.1B0.03%
469
MSCIMSCI Inc
11,593$1.1B0.03%
470
PEBPebblebrook Hotel Trust
38,411$1.1B0.03%
471
CDNSCadence Design Systems Inc
35,693$1.1B0.03%
472
HASHasbro Inc
11,186$1.1B0.03%
473
MCXMcCormick & Co Inc/MD
11,453$1.1B0.03%
474
TFXTeleflex Inc
5,750$1.1B0.03%
475
AFWAlign Technology Inc
9,662$1.1B0.03%
476
INGRIngredion Inc
9,192$1.1B0.03%
477
T7DTransDigm Group Inc
5,024$1.1B0.03%
478
PKGPackaging Corp of America
12,062$1.1B0.03%
479
KMXCarMax Inc
18,634$1.1B0.03%
480
AWNAdvance Auto Parts Inc
7,426$1.1B0.03%
481
CPBCampbell Soup Co
19,144$1.1B0.03%
482
CITCintas Corp
8,657$1.1B0.03%
483
Great Plains Energy Inc
37,477$1.1B0.03%
484
UGIUGI Corp
22,141$1.1B0.03%
485
MASMasco Corp
32,086$1.1B0.03%
486
CHRWCH Robinson Worldwide Inc
14,094$1.1B0.03%
487
CINFCincinnati Financial Corp
14,953$1.1B0.03%
488
STLDSteel Dynamics Inc
31,030$1.1B0.03%
489
UNMUnum Group
22,969$1.1B0.03%
490
Brookfield Property Partners LP
48,100$1.1B0.03%
491
JNPJuniper Networks Inc
38,394$1.1B0.03%
492
Sprague Resources LP
39,301$1.1B0.03%
493
HOGHarley-Davidson Inc
17,599$1.1B0.03%
494
ATOAtmos Energy Corp
13,466$1.1B0.03%
495
EQTEQT Corp
17,317$1.1B0.03%
496
XL Group Ltd
26,553$1.1B0.03%
497
DVADaVita HealthCare Partners Inc
15,558$1.1B0.03%
498
PNRPentair PLC
16,685$1.0B0.03%
499
CBRECBRE Group Inc
30,100$1.0B0.03%
500
RGAReinsurance Group of America Inc
8,237$1.0B0.03%
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