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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
GENERAL DYNAMICS CORP COM $2,758,102 ($107,781) (3.76%) 18,353,086
FEDEX CORP COM $2,757,035 ($15,173) (0.55%) 16,097,593
MCKESSON CORP COM $2,743,599 $120,863 4.61% 12,622,372
PROLOGIS INC COM $2,727,763 $99,669 3.79% 67,854,796
KRAFT HEINZ CO COM $2,585,793 $89,903 3.60% 32,644,779
PHILLIPS 66 COM $2,576,896 $214,820 9.09% 32,569,458
BANK NEW YORK MELLON CO... COM $2,551,030 $28,597 1.13% 58,070,334
BOSTON PROPERTIES INC COM $2,540,777 $68,995 2.79% 20,599,781
NETFLIX INC COM $2,497,504 $95,859 3.99% 22,387,092
SALESFORCE COM INC COM $2,463,201 $123,124 5.26% 33,576,888
ALEXION PHARMACEUTICALS... COM $2,450,240 $152,497 6.64% 12,294,849
GENERAL MTRS CO COM $2,440,272 $294,628 13.73% 76,473,583
CAPITAL ONE FINL CORP COM $2,411,660 $59,763 2.54% 29,590,921
AUTOMATIC DATA PROCESSI... COM $2,409,566 ($2,790) (0.12%) 30,070,709
DOMINION RES INC VA NEW COM $2,383,497 $80,946 3.52% 33,546,761
HCP INC COM $2,360,261 $68,750 3.00% 61,706,175
PAYPAL HLDGS INC COM $2,350,780 $24,033 1.03% 61,138,631
KIMBERLY CLARK CORP COM $2,349,198 ($30,661) (1.29%) 20,504,480
ANADARKO PETE CORP COM $2,303,601 $112,945 5.16% 30,061,346
YUM BRANDS INC COM $2,302,441 $277,181 13.69% 26,158,154

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