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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
MCKESSON CORP COM $2,747,380 $96,668 3.65% 12,066,320
MORGAN STANLEY COM NEW $2,731,188 $96,142 3.65% 76,247,563
METLIFE INC COM $2,696,018 $112,861 4.37% 51,986,462
AUTOMATIC DATA PROCESSI... COM $2,670,360 $85,444 3.31% 30,105,523
PNC FINL SVCS GROUP INC COM $2,658,522 $30,404 1.16% 28,793,701
GENERAL DYNAMICS CORP COM $2,614,346 $52,120 2.03% 19,070,290
GENERAL MTRS CO COM $2,541,691 $85,945 3.50% 67,240,497
HCP INC COM $2,529,349 $52,795 2.13% 59,908,783
NEXTERA ENERGY INC COM $2,475,576 $98,000 4.12% 24,284,637
VORNADO RLTY TR SH BEN INT $2,454,212 $45,924 1.91% 22,177,950
EMERSON ELEC CO COM $2,431,628 $44,030 1.84% 41,651,728
BLACKROCK INC COM $2,400,153 $80,970 3.49% 6,423,362
TIME WARNER CABLE INC COM $2,385,986 $61,838 2.66% 15,222,575
ANADARKO PETE CORP COM $2,366,468 $95,483 4.20% 28,587,442
PRAXAIR INC COM $2,351,651 $53,955 2.35% 18,222,788
DIRECTV COM $2,348,902 $71,462 3.14% 26,547,269
PHILLIPS 66 COM $2,331,325 $63,282 2.79% 29,854,340
SOUTHERN CO COM $2,319,510 $90,129 4.04% 51,373,414
DOMINION RES INC VA NEW COM $2,299,959 $97,015 4.40% 32,407,482
KIMBERLY CLARK CORP COM $2,290,331 $64,168 2.88% 20,772,094

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