SECURIAN ASSET MANAGEMENT, INC Q1 2020 Filing
Filed May 7, 2020
Portfolio Value
$3.5B
Holdings
1,019
Report Date
Q1 2020
Filing Type
13F-HR
All Holdings (1,019 positions)
| Stock | Value |
|---|---|
YUSDAlleghany Corp | $819K |
PNWPinnacle West Capital Corp | $819K |
—Sunstone Hotel Investors Inc | $818K |
LWLamb Weston Holdings Inc | $818K |
PKNPerkinElmer Inc | $818K |
FOXAFox Corp | $815K |
POOLPool Corp | $815K |
MPLXMPLX LP | $814K |
TRMBTrimble Inc | $814K |
—Columbia Property Trust Inc | $809K |
CFGCitizens Financial Group Inc | $798K |
PKGPackaging Corp of America | $794K |
RPMRPM International Inc | $792K |
CWEN/AClearway Energy Inc | $787K |
PG4Principal Financial Group Inc | $785K |
BUWABio-Rad Laboratories Inc | $782K |
—Everest Re Group Ltd | $779K |
URIUnited Rentals Inc | $774K |
SIVBEURSVB Financial Group | $771K |
UHSUniversal Health Services Inc | $767K |
CPBCampbell Soup Co | $763K |
EXPEExpedia Group Inc | $763K |
W3UWestern Union Co/The | $760K |
JBHTJB Hunt Transport Services Inc | $757K |
CNPCenterPoint Energy Inc | $757K |
HIIHuntington Ingalls Industries Inc | $754K |
RJFRaymond James Financial Inc | $754K |
ETRAETRADE Financial Corp | $753K |
—Mylan NV | $750K |
TECHBio-Techne Corp | $749K |
CGNXCognex Corp | $741K |
0VVBViacomCBS Inc | $740K |
OUTOutfront Media Inc | $740K |
CSLCarlisle Cos Inc | $736K |
SCIService Corp International/US | $734K |
WRBWR Berkley Corp | $731K |
HSICHenry Schein Inc | $720K |
NDSNNordson Corp | $717K |
CHEChemed Corp | $716K |
TAPMolson Coors Brewing Co | $713K |
TTCToro Co/The | $712K |
WRKUSDWRKCo Inc | $708K |
—Energy Transfer Operating LP | $704K |
MPWRMonolithic Power Systems Inc | $699K |
CTRACabot Oil & Gas Corp | $696K |
GLGlobe Life Inc | $691K |
HRCHill-Rom Holdings Inc | $687K |
—RenaissanceRe Holdings Ltd | $684K |
NRANRG Energy Inc | $680K |
—Brookfield Property Partners LP | $678K |
EMBiShares JP Morgan USD Emerging Markets Bond ETF | $677K |
UALUnited Continental Holdings Inc | $669K |
IRMIron Mountain Inc | $668K |
BKRBaker Hughes a GE Co LLC | $667K |
LIILennox International Inc | $665K |
USACUSA Compression Partners LP | $660K |
DVADaVita Inc | $657K |
DRIDarden Restaurants Inc | $655K |
PTCPTC Inc | $652K |
ATRAptarGroup Inc | $651K |
EHCEncompass Health Corp | $648K |
ABMDEURABIOMED Inc | $641K |
EPRTEssential Properties Realty Trust Inc | $640K |
CRLCharles River Laboratories International Inc | $639K |
HUBBHubbell Inc | $636K |
PRGOPerrigo Co PLC | $633K |
CIENCiena Corp | $632K |
OGEOGE Energy Corp | $632K |
ROICUSDRetail Opportunity Investments Corp | $632K |
FFIVF5 Networks Inc | $630K |
LYVLive Nation Entertainment Inc | $629K |
AWNAdvance Auto Parts Inc | $629K |
STWDStarwood Property Trust Inc | $629K |
JNPJuniper Networks Inc | $624K |
LKQ1LKQ Corp | $620K |
EMNEastman Chemical Co | $618K |
HPOService Properties Trust | $616K |
ARNCCHFHowmet Aerospace Inc | $614K |
AMEDAmedisys Inc | $613K |
IPGInterpublic Group of Cos Inc/The | $611K |
AIZAssurant Inc | $609K |
DBCInvesco DB Commodity Index Tracking Fund | $608K |
MGMMGM Resorts International | $603K |
SEICSEI Investments Co | $600K |
FBINFortune Brands Home & Security Inc | $600K |
RSReliance Steel & Aluminum Co | $597K |
TXTTextron Inc | $591K |
SNASnap-on Inc | $589K |
RGLDRoyal Gold Inc | $588K |
HALHalliburton Co | $588K |
LITELumentum Holdings Inc | $581K |
GNRCGenerac Holdings Inc | $581K |
OLEDUniversal Display Corp | $580K |
CFCF Industries Holdings Inc | $576K |
GNTXGentex Corp | $575K |
WYNNWynn Resorts Ltd | $575K |
DISCKUSDDiscovery Inc | $574K |
UGIUGI Corp | $572K |
ALBAlbemarle Corp | $571K |
EMHYiShares Emerging Markets High Yield Bond ETF | $570K |