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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
FEDEX CORP COM $2,819,976 ($15,519) (0.55%) 16,097,593
KRAFT FOODS GROUP INC COM $2,774,806 $96,475 3.60% 32,644,779
TJX COS INC NEW COM $2,745,159 $5,443 0.20% 40,874,909
BOSTON PROPERTIES INC COM $2,737,093 $74,326 2.79% 20,599,781
PROLOGIS INC COM $2,733,191 $99,867 3.79% 67,854,796
GENERAL MTRS CO COM $2,730,107 $329,621 13.73% 76,473,583
TIME WARNER CABLE INC COM $2,706,748 $100,948 3.87% 15,812,294
PHILLIPS 66 COM $2,637,149 $219,843 9.09% 32,569,458
AUTOMATIC DATA PROCESSI... COM $2,610,739 ($3,023) (0.12%) 30,070,709
ANADARKO PETE CORP COM $2,590,386 $127,006 5.16% 30,061,346
GENERAL DYNAMICS CORP COM $2,562,825 ($100,150) (3.76%) 18,353,086
EMERSON ELEC CO COM $2,562,633 ($10,610) (0.41%) 41,479,983
BANK NEW YORK MELLON CO... COM $2,524,317 $28,297 1.13% 58,070,334
DIRECTV COM $2,519,630 $88,697 3.65% 27,515,890
SALESFORCE COM INC COM $2,518,602 $125,894 5.26% 33,576,888
CAPITAL ONE FINL CORP COM $2,515,820 $62,344 2.54% 29,590,921
BLACKROCK INC COM $2,441,483 $77,172 3.26% 6,633,023
HCP INC COM $2,439,862 $71,069 3.00% 61,706,175
ANTHEM INC COM $2,421,205 $56,939 2.41% 14,746,358
LYONDELLBASELL INDUSTRI... SHS - A - $2,420,663 ($32,031) (1.31%) 23,524,422

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