SECURIAN ASSET MANAGEMENT, INC Q2 2017 Filing

Filed August 14, 2017

Portfolio Value

$3.8T

Holdings

982

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (982 positions)

#StockSharesValue% PortfolioType
201
CTSHCognizant Technology Solutions Corp
59,403$3.9B0.10%
202
ICEIntercontinental Exchange Inc
59,741$3.9B0.10%
203
EMREmerson Electric Co
64,947$3.9B0.10%
204
PXGBXPraxair Inc
28,899$3.8B0.10%
205
BSXBoston Scientific Corp
138,165$3.8B0.10%
206
DTEDTE Energy Co
36,084$3.8B0.10%
207
Express Scripts Holding Co
59,812$3.8B0.10%
208
AESAES Corp/VA
342,342$3.8B0.10%
209
REGNRegeneron Pharmaceuticals Inc
7,737$3.8B0.10%
210
SPGIS&P Global Inc
26,022$3.8B0.10%
211
LUVSouthwest Airlines Co
60,932$3.8B0.10%
212
HALHalliburton Co
87,545$3.7B0.10%
213
KMIKinder Morgan Inc/DE
193,792$3.7B0.10%
214
BBTUSDBB&T Corp
81,755$3.7B0.10%
215
DEDeere & Co
29,675$3.7B0.10%
216
PSXPhillips 66
44,270$3.7B0.10%
217
NHINational Health Investors Inc
45,306$3.6B0.09%
218
TRVTravelers Cos Inc/The
28,256$3.6B0.09%
219
NSCNorfolk Southern Corp
29,284$3.6B0.09%
220
EBAeBay Inc
101,531$3.5B0.09%
221
Aon PLC
26,487$3.5B0.09%
222
ETNEaton Corp PLC
45,142$3.5B0.09%
223
HUMHumana Inc
14,595$3.5B0.09%
224
MCKMcKesson Corp
21,311$3.5B0.09%
225
Weingarten Realty Investors
116,311$3.5B0.09%
226
ISRGIntuitive Surgical Inc
3,743$3.5B0.09%
227
ECLEcolab Inc
26,347$3.5B0.09%
228
STZConstellation Brands Inc
17,256$3.3B0.09%
229
CPTCamden Property Trust
39,042$3.3B0.09%
230
Colony NorthStar Inc
236,795$3.3B0.09%
231
EAElectronic Arts Inc
31,252$3.3B0.09%
232
Spectra Energy Partners LP
76,908$3.3B0.09%
233
HPTUSDHospitality Properties Trust
112,312$3.3B0.09%
234
INTUIntuit Inc
24,511$3.3B0.09%
235
VRTXVertex Pharmaceuticals Inc
25,186$3.2B0.09%
236
ALSAllstate Corp/The
36,691$3.2B0.09%
237
GISGeneral Mills Inc
58,040$3.2B0.08%
238
STTState Street Corp
35,627$3.2B0.08%
239
APDAir Products & Chemicals Inc
21,968$3.1B0.08%
240
MARMarriott International Inc/MD
31,280$3.1B0.08%
241
MUMicron Technology Inc
104,818$3.1B0.08%
242
NRG Yield Inc
183,000$3.1B0.08%
243
AFLAflac Inc
40,072$3.1B0.08%
244
ZTSZoetis Inc
49,482$3.1B0.08%
245
Energy Transfer Partners LP
149,850$3.1B0.08%
246
VLOValero Energy Corp
45,159$3.0B0.08%
247
PowerShares Senior Loan Portfolio
130,350$3.0B0.08%
248
Twenty-First Century Fox Inc
106,108$3.0B0.08%
249
WMWaste Management Inc
40,853$3.0B0.08%
250
BAXBaxter International Inc
49,151$3.0B0.08%
251
7HPHP Inc
169,915$3.0B0.08%
252
DYHTarget Corp
55,640$2.9B0.08%
253
SHWSherwin-Williams Co/The
8,242$2.9B0.08%
254
ADIAnalog Devices Inc
36,961$2.9B0.08%
255
SBCSabra Health Care REIT Inc
119,271$2.9B0.08%
256
SRESempra Energy
25,320$2.9B0.08%
257
FISFidelity National Information Services Inc
33,292$2.8B0.07%
258
PPGPPG Industries Inc
25,730$2.8B0.07%
259
TE Connectivity Ltd
35,808$2.8B0.07%
260
LyondellBasell Industries NV
33,188$2.8B0.07%
261
GLWCorning Inc
92,856$2.8B0.07%
262
HPEHewlett Packard Enterprise Co
168,031$2.8B0.07%
263
Brookfield Property Partners LP
117,500$2.8B0.07%
264
CCLCarnival Corp
42,132$2.8B0.07%
265
SunTrust Banks Inc
48,689$2.8B0.07%
266
ALXNAlexion Pharmaceuticals Inc
22,622$2.8B0.07%
267
MPCMarathon Petroleum Corp
52,284$2.7B0.07%
268
PXDEURPioneer Natural Resources Co
17,116$2.7B0.07%
269
PPLPPL Corp
68,835$2.7B0.07%
270
WECWEC Energy Group Inc
42,767$2.6B0.07%
271
FISVFiserv Inc
21,447$2.6B0.07%
272
ZBHZimmer Biomet Holdings Inc
20,359$2.6B0.07%
273
NWLNewell Brands Inc
48,613$2.6B0.07%
274
WDCChicago Board Options Exchange
29,359$2.6B0.07%
275
WDCWestern Digital Corp
29,359$2.6B0.07%
276
PGRProgressive Corp/The
58,512$2.6B0.07%
277
ILMNIllumina Inc
14,822$2.6B0.07%
278
EIXEdison International
32,842$2.6B0.07%
279
APCAnadarko Petroleum Corp
56,357$2.6B0.07%
280
CMICummins Inc
15,620$2.5B0.07%
281
WMBWilliams Cos Inc/The
83,339$2.5B0.07%
282
MTBM&T Bank Corp
15,537$2.5B0.07%
283
Great Plains Energy Inc
85,819$2.5B0.07%
284
HCAHCA Holdings Inc
28,795$2.5B0.07%
285
SYYSysco Corp
49,603$2.5B0.07%
286
EWEdwards Lifesciences Corp
21,116$2.5B0.07%
287
AALAmerican Airlines Group Inc
49,632$2.5B0.07%
288
WESWestern Gas Partners LP
44,411$2.5B0.07%
289
CAHCardinal Health Inc
31,847$2.5B0.07%
290
EDConsolidated Edison Inc
30,662$2.5B0.07%
291
EMBiShares JP Morgan USD Emerging Markets Bond ETF
21,500$2.5B0.06%
292
YUMYum! Brands Inc
33,302$2.5B0.06%
293
XIFRNextEra Energy Partners LP
66,100$2.4B0.06%
294
STWDStarwood Property Trust Inc
107,500$2.4B0.06%
295
ROPRoper Technologies Inc
10,317$2.4B0.06%
296
DFSEURDiscover Financial Services
38,354$2.4B0.06%
297
ADMArcher-Daniels-Midland Co
57,500$2.4B0.06%
298
CBS Corp
37,148$2.4B0.06%
299
BCRUSDCR Bard Inc
7,475$2.4B0.06%
300
Kinder Morgan Inc/DE
53,800$2.4B0.06%
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