SECURIAN ASSET MANAGEMENT, INC Q1 2020 Filing

Filed May 7, 2020

Portfolio Value

$3.5T

Holdings

1,019

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,019 positions)

#StockSharesValue% PortfolioType
201
NSCNorfolk Southern Corp
25,743$3.8B0.11%
202
NEMNewmont Mining Corp
80,189$3.6B0.10%
203
WEPMagellan Midstream Partners LP
99,385$3.6B0.10%
204
RTN1USDRaytheon Co
27,593$3.6B0.10%
205
SPEMSPDR Portfolio Emerging Markets ETF
125,835$3.6B0.10%
206
WMWaste Management Inc
38,648$3.6B0.10%
207
DTEDTE Energy Co
37,596$3.6B0.10%
208
PPLPPL Corp
144,233$3.6B0.10%
209
ELEstee Lauder Cos Inc/The
22,279$3.5B0.10%
210
EPDEnterprise Products Partners LP
247,300$3.5B0.10%
211
LRCXEURLam Research Corp
14,540$3.5B0.10%
212
MCOMoody's Corp
16,357$3.5B0.10%
213
FEFirstEnergy Corp
86,009$3.4B0.10%
214
ADSKAutodesk Inc
21,945$3.4B0.10%
215
CNCCentene Corp
57,078$3.4B0.10%
216
COPConocoPhillips
109,702$3.4B0.10%
217
WBAWalgreens Boots Alliance Inc
73,302$3.4B0.09%
218
IVEiShares S&P 500 Value ETF
34,500$3.3B0.09%
219
ADIAnalog Devices Inc
36,798$3.3B0.09%
220
MAAMid-America Apartment Communities Inc
32,009$3.3B0.09%
221
WYWeyerhaeuser Co
194,020$3.3B0.09%
222
AESAES Corp/The
241,017$3.3B0.09%
223
ROPRoper Technologies Inc
10,493$3.3B0.09%
224
ROSTRoss Stores Inc
36,150$3.1B0.09%
225
ETNEaton Corp PLC
40,443$3.1B0.09%
226
IJHiShares Core S&P Mid-Cap ETF
21,725$3.1B0.09%
227
GISGeneral Mills Inc
59,083$3.1B0.09%
228
XELXcel Energy Inc
51,189$3.1B0.09%
229
SBACSBA Communications Corp
11,289$3.0B0.09%
230
NNNNational Retail Properties Inc
94,382$3.0B0.09%
231
GDGeneral Dynamics Corp
22,919$3.0B0.09%
232
USHYiShares Broad USD High Yield Corporate Bond ETF
85,157$3.0B0.09%
233
ALSAllstate Corp/The
31,685$2.9B0.08%
234
EAElectronic Arts Inc
28,808$2.9B0.08%
235
EMREmerson Electric Co
60,317$2.9B0.08%
236
FDXFedEx Corp
23,427$2.8B0.08%
237
EVRGEvergy Inc
51,304$2.8B0.08%
238
BKBank of New York Mellon Corp/The
82,109$2.8B0.08%
239
WECWEC Energy Group Inc
30,771$2.7B0.08%
240
TMUST-Mobile US Inc
30,936$2.6B0.07%
241
GMGeneral Motors Co
123,012$2.6B0.07%
242
EDCONSOLIDATED EDISON INC
32,476$2.5B0.07%
243
7HPHP Inc
144,991$2.5B0.07%
244
TRVTravelers Cos Inc/The
25,199$2.5B0.07%
245
CTSHCognizant Technology Solutions Corp
53,488$2.5B0.07%
246
ESEversource Energy
31,642$2.5B0.07%
247
DDDuPont de Nemours Inc
72,405$2.5B0.07%
248
AFLAflac Inc
71,720$2.5B0.07%
249
MSCIMSCI Inc
8,457$2.4B0.07%
250
FLOTiShares Floating Rate Bond ETF
50,000$2.4B0.07%
251
OKEONEOK Inc
111,169$2.4B0.07%
252
ITOTiShares Core S&P Total US Stock Market ETF
42,000$2.4B0.07%
253
IHS Markit Ltd
39,696$2.4B0.07%
254
STZConstellation Brands Inc
16,476$2.4B0.07%
255
KRKroger Co/The
78,402$2.4B0.07%
256
PSXPhillips 66
43,959$2.4B0.07%
257
METMetLife Inc
76,457$2.3B0.07%
258
HCAHCA Holdings Inc
25,941$2.3B0.07%
259
ORLYO'Reilly Automotive Inc
7,674$2.3B0.07%
260
SYYSysco Corp
50,421$2.3B0.06%
261
EBAeBay Inc
76,486$2.3B0.06%
262
COFCapital One Financial Corp
45,543$2.3B0.06%
263
MSIMotorola Solutions Inc
17,213$2.3B0.06%
264
VRSKVerisk Analytics Inc
16,304$2.3B0.06%
265
KLACKLA Corp
15,796$2.3B0.06%
266
TROWT Rowe Price Group Inc
23,211$2.3B0.06%
267
Brookfield Infrastructure Partners LP
62,800$2.3B0.06%
268
COR1EURCoresite Realty Corp
19,145$2.2B0.06%
269
PEGPublic Service Enterprise Group Inc
49,331$2.2B0.06%
270
AG8Agilent Technologies Inc
30,575$2.2B0.06%
271
SJIEURSouth Jersey Industries Inc
86,877$2.2B0.06%
272
DOWDow Inc
74,164$2.2B0.06%
273
WTWWillis Towers Watson PLC
12,749$2.2B0.06%
274
MCKMcKesson Corp
15,959$2.2B0.06%
275
APHAmphenol Corp
29,499$2.1B0.06%
276
CLXClorox Co/The
12,369$2.1B0.06%
277
MNSTMonster Beverage Corp
37,887$2.1B0.06%
278
AWCAmerican Water Works Co Inc
17,784$2.1B0.06%
279
AZOAutoZone Inc
2,513$2.1B0.06%
280
PSA 4.875 PERP IPublic Storage
90,000$2.1B0.06%
281
American Homes 4 Rent
89,802$2.1B0.06%
282
RMEResMed Inc
14,393$2.1B0.06%
283
ACCUSDAmerican Campus Communities Inc
76,406$2.1B0.06%
284
PCARPACCAR Inc
34,471$2.1B0.06%
285
BALLBall Corp
32,399$2.1B0.06%
286
IDXXIDEXX Laboratories Inc
8,642$2.1B0.06%
287
TE Connectivity Ltd
32,991$2.1B0.06%
288
CMICummins Inc
15,271$2.1B0.06%
289
EOGEOG Resources Inc
57,491$2.1B0.06%
290
AIGAmerican International Group Inc
85,060$2.1B0.06%
291
YUMYum! Brands Inc
30,100$2.1B0.06%
292
PRUPrudential Financial Inc
39,238$2.0B0.06%
293
JCIJohnson Controls International plc
75,478$2.0B0.06%
294
ZBHZimmer Biomet Holdings Inc
20,099$2.0B0.06%
295
MARMarriott International Inc/MD
27,051$2.0B0.06%
296
PAYXPaychex Inc
31,554$2.0B0.06%
297
AKXANSYS Inc
8,491$2.0B0.06%
298
ALXNAlexion Pharmaceuticals Inc
21,825$2.0B0.06%
299
CERNCHFCerner Corp
31,110$2.0B0.06%
300
TTTrane Technologies plc
23,659$2.0B0.06%
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