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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
MARATHON OIL CORP COM $1,122,800 $35,171 3.23% 31,870,569
SALESFORCE COM INC COM $1,122,437 $58,437 5.49% 24,566,352
JOHNSON CTLS INC COM $1,119,287 $34,454 3.18% 30,112,651
MACERICH CO COM $1,114,510 $66,843 6.38% 16,612,164
CENTURYLINK INC COM $1,087,798 $65,955 6.45% 29,062,197
AETNA INC NEW COM $1,084,223 $2,936 0.27% 17,953,679
ALLSTATE CORP COM $1,079,593 ($7,397) (0.68%) 22,140,955
BECTON DICKINSON & CO COM $1,074,496 $18,124 1.72% 10,726,720
ACTAVIS INC COM $1,072,256 $56,226 5.53% 8,371,767
HEINZ H J CO COM $1,071,354 $9,201 0.87% 14,797,710
STRYKER CORP COM $1,064,387 ($5,874) (0.55%) 15,829,666
CORNING INC COM $1,063,482 $52,345 5.18% 67,522,636
WELLPOINT INC COM $1,055,434 $846 0.08% 13,534,675
VALERO ENERGY CORP NEW COM $1,050,937 $4,103 0.39% 26,116,720
BB&T CORP COM $1,046,226 $18,405 1.79% 31,829,206
RAYTHEON CO COM NEW $1,045,614 $28,206 2.77% 15,664,626
GRAINGER W W INC COM $1,043,663 $236,749 29.34% 4,036,601
FACEBOOK INC CL A $1,043,203 $383,827 58.21% 41,628,225
AIR PRODS & CHEMS INC COM $1,040,398 $12,831 1.25% 11,048,083
PRICE T ROWE GROUP INC COM $1,021,909 $17,276 1.72% 13,297,451

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