KO
KO
 
  Institutional Portfolio Description | Show Summary  
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Company Class Value
of Shares
($1000)
Change
in Value
($1000)
% Change
in Value
Shares
Held
CIGNA CORPORATION COM $823,217 $175,966 27.19% 9,022,547
CANADIAN NATL RY CO COM $821,554 $136,576 19.94% 11,522,502
INCYTE CORP COM $820,008 $423,588 106.85% 16,231,351
COBALT INTL ENERGY INC COM $812,235 ($3,352) (0.41%) 57,401,743
M & T BK CORP COM $811,727 $43,599 5.68% 6,528,813
CERNER CORP COM $809,515 $166,823 25.96% 13,561,983
NIKE INC CL B $805,339 $180,040 28.79% 9,036,568
HUMANA INC COM $786,177 ($66,332) (7.78%) 5,960,402
PRINCIPAL FINL GROUP IN... COM $783,849 $293,612 59.89% 14,789,607
ADVANCE AUTO PARTS INC COM $756,893 $75,420 11.07% 5,793,729
TEVA PHARMACEUTICAL IND... ADR $751,401 ($982,017) (56.65%) 14,029,142
AUTOZONE INC COM $742,175 ($136,016) (15.49%) 1,461,434
CABOT OIL & GAS CORP COM $740,525 $48,998 7.09% 22,433,342
ROYAL DUTCH SHELL PLC SPONS ADR A $724,491 ($45,551) (5.92%) 9,451,933
ALNYLAM PHARMACEUTICALS... COM $717,784 $85,483 13.52% 9,132,117
US BANCORP DEL COM NEW $700,041 ($71,444) (9.26%) 16,775,475
WYNDHAM WORLDWIDE CORP COM $699,106 ($103,403) (12.88%) 8,592,752
GENERAL DYNAMICS CORP COM $670,604 ($508,652) (43.13%) 5,260,049
UNITED CONTL HLDGS INC COM $663,031 ($275,844) (29.38%) 14,182,478
PHILLIPS 66 COM $656,478 ($179,568) (21.48%) 8,028,347

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