SECURIAN ASSET MANAGEMENT, INC Q1 2020 Filing

Filed May 7, 2020

Portfolio Value

$3.5B

Holdings

1,019

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,019 positions)

StockValue
USMViShares Edge MSCI Min Vol USA ETF
$123.7M
MSFTMicrosoft Corp
$120.3M
AAPLApple Inc
$106.2M
EFAViShares Edge MSCI Min Vol EAFE ETF
$102.3M
HDViShares Core High Dividend ETF
$98.3M
AMZNAmazon.com Inc
$81.2M
PLDPrologis Inc
$58.0M
EQIXEquinix Inc
$57.8M
METAFacebook Inc
$40.1M
BRK/BBerkshire Hathaway Inc
$35.0M
GOOGAlphabet Inc
$34.9M
GOOGLAlphabet Inc
$34.9M
FQIDigital Realty Trust Inc
$34.7M
JNJJohnson & Johnson
$34.1M
NEARiShares Short Maturity Bond ETF
$30.8M
AREAlexandria Real Estate Equities Inc
$30.5M
JPMJPMorgan Chase & Co
$27.9M
VVisa Inc
$27.6M
PGProcter & Gamble Co/The
$27.2M
PSAPublic Storage
$26.1M
IVViShares Core S&P 500 ETF
$26.0M
DREUSDDuke Realty Corp
$24.5M
BACVerizon Communications Inc
$24.4M
EEMViShares Edge MSCI Min Vol Emerging Markets ETF
$23.7M
INTCIntel Corp
$23.3M
WELLWelltower Inc
$23.2M
UNHUnitedHealth Group Inc
$23.1M
TAT&T INC
$22.0M
AVBAvalonBay Communities Inc
$21.6M
MAMastercard Inc
$21.4M
DOCHealthpeak Properties Inc
$21.0M
HDHome Depot Inc/The
$20.2M
MRKMerck & Co Inc
$19.4M
CyrusOne Inc
$18.0M
PFEPfizer Inc
$17.7M
DISTWDC Enterprises 18 Corp
$17.3M
INVHInvitation Homes Inc
$17.2M
CPTCamden Property Trust
$17.1M
KOCoca-Cola Co/The
$16.8M
BACBank of America Corp
$16.8M
VICIVICI Properties Inc
$16.7M
PEPPepsiCo Inc
$16.6M
BXPBoston Properties Inc
$16.5M
NFLXNetflix Inc
$16.4M
CSCOCisco Systems Inc
$16.3M
NVDANVIDIA Corp
$16.1M
8CWCrown Castle International Corp
$16.0M
WMTWalmart Inc
$15.8M
XOMExxon Mobil Corp
$15.7M
EWGiShares MSCI Germany ETF
$15.6M
CMCSAComcast Corp
$15.5M
ADBEAdobe Inc
$15.4M
QTS Realty Trust Inc
$15.2M
UDRUDR Inc
$15.1M
AMHAmerican Homes 4 Rent
$14.6M
ABTAbbott Laboratories
$13.8M
VOOVanguard S&P 500 ETF
$13.6M
CVXChevron Corp
$13.4M
BMYBristol-Myers Squibb Co
$12.9M
EXRExtra Space Storage Inc
$12.9M
ESSEssex Property Trust Inc
$12.8M
CRMsalesforce.com Inc
$12.8M
COSTCostco Wholesale Corp
$12.5M
MCDMcDonald's Corp
$12.3M
AMGNAmgen Inc
$11.9M
MDTMedtronic PLC
$11.8M
SPGSimon Property Group Inc
$11.8M
CUZCousins Properties Inc
$11.7M
NEENextEra Energy Inc
$11.6M
LLYEli Lilly and Co
$11.6M
EQREquity Residential
$11.6M
TMOThermo Fisher Scientific Inc
$11.4M
IDV*iShares International Select Dividend ETF
$11.3M
PYPLPayPal Holdings Inc
$11.2M
4I1Philip Morris International Inc
$11.2M
ABBVAbbVie Inc
$11.2M
KRCKilroy Realty Corp
$11.1M
LQDiShares iBoxx $ Investment Grade Corporate Bond ETF
$11.1M
VENVentas Inc
$11.0M
WFCWells Fargo & Co
$10.8M
ORealty Income Corp
$10.7M
ORCLOracle Corp
$10.4M
Accenture PLC
$10.3M
NKENIKE Inc
$10.2M
ADCAgree Realty Corp
$10.0M
CoBank ACB
$9.8M
UNPUnion Pacific Corp
$9.7M
AMTAmerican Tower Corp
$9.6M
SUISun Communities Inc
$9.6M
IBMInternational Business Machines Corp
$9.6M
HONHoneywell International Inc
$9.4M
SPYSPDR S&P 500 ETF
$9.4M
AVGOBroadcom Inc
$9.4M
TXNTexas Instruments Inc
$9.3M
GILDGilead Sciences Inc
$9.3M
Linde PLC
$9.2M
HSTHost Hotels & Resorts Inc
$9.1M
HTAEURHealthcare Trust of America Inc
$9.0M
TRVCCitigroup Inc
$9.0M
FRFIRST INDUSTRIAL REALTY TRUST
$8.9M
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