SECURIAN ASSET MANAGEMENT, INC Q1 2019 Filing
Filed April 26, 2019
Portfolio Value
$4.2B
Holdings
1,017
Report Date
Q1 2019
Filing Type
13F-HR
All Holdings (1,017 positions)
| Stock | Value |
|---|---|
CRLCharles River Laboratories International Inc | $850K |
FIVEFive Below Inc | $847K |
EWBCEast West Bancorp Inc | $846K |
ARNCCHFArconic Inc | $843K |
TERTeradyne Inc | $843K |
BFHAlliance Data Systems Corp | $839K |
TMKTorchmark Corp | $838K |
BROBrown & Brown Inc | $835K |
AFGAmerican Financial Group Inc/OH | $830K |
NDSNNordson Corp | $829K |
W3UWestern Union Co/The | $829K |
IPGInterpublic Group of Cos Inc/The | $826K |
3M4Masimo Corp | $823K |
SEICSEI Investments Co | $822K |
ATRAptarGroup Inc | $821K |
LAMRLamar Advertising Co | $820K |
CVA1EURCovanta Holding Corp | $815K |
BWABorgWarner Inc | $811K |
HFCUSDHollyFrontier Corp | $800K |
ARWArrow Electronics Inc | $797K |
KIMKimco Realty Corp | $796K |
OLEDUniversal Display Corp | $795K |
POOLPool Corp | $792K |
MHKMohawk Industries Inc | $792K |
PRAHPRA Health Sciences Inc | $791K |
RHIRobert Half International Inc | $791K |
HUBBHubbell Inc | $791K |
—Colony Capital Inc | $791K |
—Aqua America Inc | $790K |
—Invesco Ltd | $783K |
DCIDonaldson Co Inc | $777K |
BUWABio-Rad Laboratories Inc | $772K |
INGRIngredion Inc | $770K |
—Integrated Device Technology Inc | $766K |
AOSAO Smith Corp | $764K |
FDO.FMacy's Inc | $759K |
DNKNDunkin' Brands Group Inc | $758K |
CCChemours Co/The | $756K |
CPBCampbell Soup Co | $745K |
CFRCullen/Frost Bankers Inc | $745K |
SONSonoco Products Co | $744K |
DISHDISH Network Corp | $743K |
—RenaissanceRe Holdings Ltd | $738K |
RSReliance Steel & Aluminum Co | $738K |
UNMUnum Group | $736K |
SEESealed Air Corp | $730K |
RGLDRoyal Gold Inc | $729K |
PHMPulteGroup Inc | $728K |
XECEURCimarex Energy Co | $726K |
CTRECareTrust REIT Inc | $725K |
ORIOld Republic International Corp | $724K |
CTLTEURCatalent Inc | $719K |
—Cree Inc | $717K |
SABRSabre Corp | $716K |
XPOXPO Logistics Inc | $715K |
DVADaVita Inc | $715K |
CPRICapri Holdings Ltd | $707K |
PNRPentair PLC | $706K |
EMHYiShares Emerging Markets High Yield Bond ETF | $702K |
EHCEncompass Health Corp | $701K |
EPREPR Properties | $700K |
FAFFirst American Financial Corp | $699K |
CBSHCommerce Bancshares Inc/MO | $698K |
WOOFoot Locker Inc | $696K |
ALKAlaska Air Group Inc | $695K |
RLRalph Lauren Corp | $680K |
BKLNInvesco Senior Loan ETF | $676K |
FBINFortune Brands Home & Security Inc | $676K |
BRXBrixmor Property Group Inc | $668K |
SYU1Synovus Financial Corp | $666K |
VSMEURVersum Materials Inc | $666K |
HN9Hanesbrands Inc | $665K |
—Cypress Semiconductor Corp | $661K |
PBCTEURPeople's United Financial Inc | $661K |
NYCBEURNew York Community Bancorp Inc | $659K |
FLIRFLIR Systems Inc | $656K |
CIENCiena Corp | $654K |
GNTXGentex Corp | $653K |
XRXCHFXerox Corp | $653K |
MPWRMonolithic Power Systems Inc | $651K |
LECOLincoln Electric Holdings Inc | $646K |
WWDWoodward Inc | $644K |
EQTEQT Corp | $642K |
OSKOshkosh Corp | $641K |
LBEURL Brands Inc | $640K |
ROLRollins Inc | $637K |
NFGNational Fuel Gas Co | $635K |
—STAG Industrial Inc | $635K |
CHEChemed Corp | $634K |
PRIPrimerica Inc | $633K |
—WPX Energy Inc | $631K |
—ARRIS International PLC | $628K |
CQPCheniere Energy Partners LP | $628K |
UTHUnited Therapeutics Corp | $625K |
TDCTeradata Corp | $624K |
PCHPotlatch Corp | $622K |
NWLNewell Brands Inc | $617K |
CZREURCaesars Entertainment Corp | $617K |
ITTITT Inc | $616K |
CABOCable One Inc | $616K |