KO
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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
EBAY INC COM $1,258,067 ($381,297) (23.26%) 22,184,219
AMERIPRISE FINL INC COM $1,247,951 $213,730 20.67% 15,276,664
DOMINION RES INC VA NEW COM $1,221,979 $26,869 2.25% 19,976,777
BOEING CO COM $1,214,617 $80,784 7.12% 12,278,777
PIONEER NAT RES CO COM $1,214,029 $504,064 71.00% 8,534,471
UNILEVER N V N Y SHS NEW $1,188,892 $249 0.02% 28,199,534
BANK OF AMERICA CORPORA... COM $1,183,237 ($736,697) (38.37%) 88,104,026
INTL PAPER CO COM $1,182,007 ($295,415) (20.00%) 24,533,147
YAHOO INC COM $1,171,900 $434,441 58.91% 44,189,301
HERTZ GLOBAL HOLDINGS I... COM $1,149,781 $165,683 16.84% 44,256,389
ACCENTURE PLC IRELAND SHS CLASS A $1,148,162 ($199,675) (14.81%) 13,961,114
AMAZON COM INC COM $1,111,253 ($77,753) (6.54%) 4,117,275
INTERCONTINENTALEXCHANG... COM $1,052,436 $440,595 72.01% 5,932,227
KRAFT FOODS GROUP INC COM $1,046,794 $243,891 30.38% 18,656,101
3M CO COM $1,045,255 $223,109 27.14% 9,383,740
DELTA AIR LINES INC DEL COM NEW $1,002,672 ($213,892) (17.58%) 54,081,556
AT&T INC COM $1,001,923 ($1,713,307) (63.10%) 26,760,752
ASTRAZENECA PLC SPONSORED ADR $990,192 $181,016 22.37% 19,204,663
HALLIBURTON CO COM $984,634 $178,755 22.18% 21,759,860
MATTEL INC COM $961,702 ($46,723) (4.63%) 20,553,581

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