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  Institutional Portfolio Description | Show Summary  
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Company Class Value
of Shares
($1000)
Change
in Value
($1000)
% Change
in Value
Shares
Held
PRAXAIR INC COM $1,830,649 $21,165 1.17% 15,812,807
AUTOMATIC DATA PROCESSI... COM $1,830,552 $33,240 1.85% 25,764,279
VORNADO RLTY TR SH BEN INT $1,733,033 $65,362 3.92% 19,767,689
DIRECTV COM $1,700,101 ($82,832) (4.65%) 26,382,691
DANAHER CORP DEL COM $1,690,498 $38,960 2.36% 26,385,167
BLACKROCK INC COM $1,667,751 $52,941 3.28% 5,765,776
DOMINION RES INC VA NEW COM $1,667,527 $76,369 4.80% 27,449,010
HOST HOTELS & RESORTS I... COM $1,626,248 ($111,053) (6.39%) 87,715,644
ILLINOIS TOOL WKS INC COM $1,617,676 $40,490 2.57% 22,784,172
MORGAN STANLEY COM NEW $1,589,875 $61,129 4.00% 63,417,451
BANK NEW YORK MELLON CO... COM $1,586,848 ($436) (0.03%) 52,181,793
NEXTERA ENERGY INC COM $1,585,585 $68,761 4.53% 19,760,536
CAPITAL ONE FINL CORP COM $1,581,478 $50,112 3.27% 25,586,122
KRAFT FOODS GROUP INC COM $1,576,748 $59,609 3.93% 28,036,058
ACE LIMITED SHS $1,561,608 $221,651 16.54% 17,152,991
PNC FINL SVCS GROUP INC COM $1,520,632 ($117,196) (7.16%) 21,333,223
DEERE & CO COM $1,520,547 $40,237 2.72% 17,271,090
AMERICAN TOWER CORP NEW COM $1,507,009 $40,956 2.79% 17,957,680
GENERAL MLS INC COM $1,492,700 $37,909 2.61% 30,382,667
APACHE CORP COM $1,486,900 $46,553 3.23% 17,684,349

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