SECURIAN ASSET MANAGEMENT, INC Q1 2017 Filing
Filed May 11, 2017
Portfolio Value
$3.7B
Holdings
980
Report Date
Q1 2017
Filing Type
13F-HR
All Holdings (980 positions)
| Stock | Value |
|---|---|
NINiSource Inc | $772K |
VRSNVeriSign Inc | $772K |
DCIDonaldson Co Inc | $770K |
TTWOTake-Two Interactive Software Inc | $770K |
WSTWest Pharmaceutical Services Inc | $766K |
—Microsemi Corp | $761K |
ODFLOld Dominion Freight Line Inc | $759K |
—RenaissanceRe Holdings Ltd | $758K |
SNIScripps Networks Interactive Inc | $757K |
COR1EURCoresite Realty Corp | $756K |
—STERIS PLC | $755K |
AVTAvnet Inc | $755K |
USX1United States Steel Corp | $755K |
—Bioverativ Inc | $753K |
EMHYiShares Emerging Markets High Yield Bond ETF | $749K |
LWLamb Weston Holdings Inc | $747K |
RSReliance Steel & Aluminum Co | $746K |
SCIService Corp International/US | $744K |
CBOECBOE Holdings Inc | $744K |
—Ultimate Software Group Inc/The | $741K |
FTNTFortinet Inc | $732K |
—Aqua America Inc | $730K |
—Newfield Exploration Co | $730K |
VYXNCR Corp | $729K |
FLRFluor Corp | $727K |
AVYAvery Dennison Corp | $724K |
—Orbital ATK Inc | $723K |
—Panera Bread Co | $723K |
HPHelmerich & Payne Inc | $721K |
POSTPost Holdings Inc | $720K |
ALLEAllegion PLC | $718K |
—Envision Healthcare Corp | $718K |
DEIDouglas Emmett Inc | $715K |
SRCLStericycle Inc | $708K |
ACMAECOM | $708K |
KSSKohl's Corp | $701K |
EGPEastGroup Properties Inc | $701K |
BCBrunswick Corp/DE | $701K |
OLNOlin Corp | $696K |
LECOLincoln Electric Holdings Inc | $687K |
CFCF Industries Holdings Inc | $686K |
MDUMDU Resources Group Inc | $684K |
TOLToll Brothers Inc | $684K |
—WPX Energy Inc | $679K |
—Energen Corp | $677K |
PHMPulteGroup Inc | $677K |
GGGGraco Inc | $675K |
JBLJabil Circuit Inc | $675K |
SONSonoco Products Co | $672K |
LEGLeggett & Platt Inc | $669K |
JECUSDJacobs Engineering Group Inc | $665K |
SLMSLM Corp | $665K |
TYLTyler Technologies Inc | $663K |
EVEUREaton Vance Corp | $661K |
LOGMEURLogMeIn Inc | $656K |
OSKOshkosh Corp | $655K |
NFGNational Fuel Gas Co | $651K |
—Brocade Communications Systems Inc | $651K |
ABMDEURABIOMED Inc | $649K |
COHREURCOHERENT INC | $647K |
CFRCullen/Frost Bankers Inc | $646K |
JLLJones Lang LaSalle Inc | $646K |
DNKNDunkin' Brands Group Inc | $644K |
—ARRIS International PLC | $644K |
HFCUSDHollyFrontier Corp | $644K |
SYU1Synovus Financial Corp | $642K |
ORIOld Republic International Corp | $641K |
AMLPUSDAlerian MLP ETF | $636K |
PKNPerkinElmer Inc | $631K |
—Xerox Corp | $630K |
POOLPool Corp | $629K |
PIIPolaris Industries Inc | $629K |
PBCTEURPeople's United Financial Inc | $628K |
FLSFlowserve Corp | $628K |
CBSHCommerce Bancshares Inc/MO | $628K |
SNPSSynopsys Inc | $625K |
—Vectren Corp | $622K |
—Michael Kors Holdings Ltd | $621K |
PBProsperity Bancshares Inc | $620K |
ZBRAZebra Technologies Corp | $618K |
RHIRobert Half International Inc | $617K |
—Senior Housing Properties Trust | $616K |
THSTreeHouse Foods Inc | $616K |
ATRAptarGroup Inc | $614K |
BROBrown & Brown Inc | $613K |
DISCKUSDDiscovery Communications Inc | $612K |
FNBFNB Corp/PA | $610K |
—PrivateBancorp Inc | $608K |
—Bank of the Ozarks Inc | $607K |
EXPEagle Materials Inc | $602K |
CNKCinemark Holdings Inc | $600K |
BBBYEURBed Bath & Beyond Inc | $593K |
NRANRG Energy Inc | $591K |
MSMMSC Industrial Direct Co Inc | $590K |
WBSWebster Financial Corp | $590K |
THOThor Industries Inc | $589K |
RGLDRoyal Gold Inc | $586K |
TRGPTarga Resources Corp | $581K |
—Garmin Ltd | $581K |
IPGPIPG Photonics Corp | $579K |