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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
DANAHER CORP DEL COM $2,594,167 $70,259 2.78% 31,008,455
MORGAN STANLEY COM NEW $2,582,816 $160,034 6.61% 73,563,536
SOUTHERN CO COM $2,578,972 $134,758 5.51% 49,377,208
NEXTERA ENERGY INC COM $2,559,731 $46,475 1.85% 23,323,288
MCKESSON CORP COM $2,548,847 $53,692 2.15% 11,641,762
AUTOMATIC DATA PROCESSI... COM $2,522,843 $49,445 2.00% 29,142,227
VORNADO RLTY TR SH BEN INT $2,497,299 $33,402 1.36% 21,762,951
PNC FINL SVCS GROUP INC COM $2,470,141 $81,323 3.40% 28,464,400
DOMINION RES INC VA NEW COM $2,450,026 $42,992 1.79% 31,040,496
EMERSON ELEC CO COM $2,430,540 $28,918 1.20% 40,897,528
METLIFE INC COM $2,430,240 $47,238 1.98% 49,810,206
HOST HOTELS & RESORTS I... COM $2,391,366 $25,519 1.08% 99,062,373
YAHOO INC COM $2,357,315 $28,220 1.21% 47,680,327
GENERAL GROWTH PPTYS IN... COM $2,275,152 $109,109 5.04% 72,318,885
ANADARKO PETE CORP COM $2,267,694 $81,662 3.74% 27,433,993
BLACKROCK INC COM $2,218,201 $51,402 2.37% 6,206,668
KIMBERLY CLARK CORP COM $2,217,885 $38,303 1.76% 20,190,127
PRAXAIR INC COM $2,217,041 $33,904 1.55% 17,804,696
CAPITAL ONE FINL CORP COM $2,215,345 $44,849 2.07% 28,332,840
DIRECTV COM $2,199,449 $159,211 7.80% 25,739,603

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