SECURIAN ASSET MANAGEMENT, INC Q3 2020 Filing

Filed November 4, 2020

Portfolio Value

$4.1B

Holdings

1,019

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (1,019 positions)

StockValue
WPCWP Carey Inc
$4.4M
EPDEnterprise Products Partners LP
$4.4M
MCOMoody's Corp
$4.3M
IVEiShares S&P 500 Value ETF
$4.3M
PNCPNC Financial Services Group Inc/The
$4.2M
KMIKinder Morgan Inc
$4.2M
WMBWilliams Cos Inc/The
$4.2M
ILMNIllumina Inc
$4.2M
BIIBBiogen Inc
$4.1M
WMWaste Management Inc
$4.0M
ADIAnalog Devices Inc
$4.0M
RLJRLJ Lodging Trust
$4.0M
Taubman Centers Inc
$4.0M
DTEDTE Energy Co
$3.9M
SCHWCharles Schwab Corp/The
$3.9M
ROPRoper Technologies Inc
$3.9M
WEPMagellan Midstream Partners LP
$3.8M
BAXBaxter International Inc
$3.7M
ETNEaton Corp PLC
$3.7M
DDDuPont de Nemours Inc
$3.7M
IJHiShares Core S&P Mid-Cap ETF
$3.7M
DC4DexCom Inc
$3.7M
AESAES Corp/The
$3.6M
WYWeyerhaeuser Co
$3.6M
EMREmerson Electric Co
$3.6M
NNNNational Retail Properties Inc
$3.6M
EAElectronic Arts Inc
$3.5M
CTSHCognizant Technology Solutions Corp
$3.4M
GISGeneral Mills Inc
$3.4M
LHXL3Harris Technologies Inc
$3.4M
GMGeneral Motors Co
$3.4M
USHYiShares Broad USD High Yield Corporate Bond ETF
$3.4M
SBACSBA Communications Corp
$3.3M
XELXcel Energy Inc
$3.3M
COPConocoPhillips
$3.3M
CMGChipotle Mexican Grill Inc
$3.2M
DOWDow Inc
$3.2M
EBAeBay Inc
$3.2M
TWTRUSDTwitter Inc
$3.2M
ORLYO'Reilly Automotive Inc
$3.2M
ITOTiShares Core S&P Total US Stock Market ETF
$3.2M
IDXXIDEXX Laboratories Inc
$3.1M
GLPIGaming and Leisure Properties Inc
$3.1M
ROSTRoss Stores Inc
$3.1M
CNCCentene Corp
$3.1M
SNPSSynopsys Inc
$3.0M
HCAHCA Holdings Inc
$3.0M
COFCapital One Financial Corp
$3.0M
CMSCMS Energy Corp
$3.0M
APHAmphenol Corp
$3.0M
TE Connectivity Ltd
$3.0M
GDGeneral Dynamics Corp
$2.9M
SYYSysco Corp
$2.9M
STZConstellation Brands Inc
$2.9M
CMICummins Inc
$2.9M
MPLXMPLX LP
$2.9M
AG8Agilent Technologies Inc
$2.8M
KLACKLA Corp
$2.8M
WECWEC Energy Group Inc
$2.8M
IQVIQVIA Holdings Inc
$2.8M
VRSKVerisk Analytics Inc
$2.8M
MSCIMSCI Inc
$2.8M
JCIJohnson Controls International plc
$2.8M
CDNSCadence Design Systems Inc
$2.8M
PCARPACCAR Inc
$2.7M
MNSTMonster Beverage Corp
$2.7M
CITCintas Corp
$2.7M
IHS Markit Ltd
$2.7M
CDPCorporate Office Properties Trust
$2.7M
TROWT Rowe Price Group Inc
$2.7M
ALSAllstate Corp/The
$2.7M
TTTrane Technologies plc
$2.7M
PPGPPG Industries Inc
$2.6M
Brookfield Infrastructure Partners LP
$2.6M
METMetLife Inc
$2.6M
ESEversource Energy
$2.6M
AKXANSYS Inc
$2.6M
AZOAutoZone Inc
$2.6M
ZBHZimmer Biomet Holdings Inc
$2.6M
BKBank of New York Mellon Corp/The
$2.5M
YUMYum! Brands Inc
$2.5M
FLOTiShares Floating Rate Bond ETF
$2.5M
PEGPublic Service Enterprise Group Inc
$2.5M
PPLPPL Corp
$2.5M
WTWWillis Towers Watson PLC
$2.5M
BALLBall Corp
$2.5M
TRVTravelers Cos Inc/The
$2.5M
PAAPlains All American Pipeline LP
$2.5M
MSIMotorola Solutions Inc
$2.5M
T7DTransDigm Group Inc
$2.4M
CLXClorox Co/The
$2.4M
EVRGEvergy Inc
$2.4M
PSA 4.875 PERP IPublic Storage
$2.4M
ETEnergy Transfer LP
$2.4M
AWCAmerican Water Works Co Inc
$2.4M
MCHPMicrochip Technology Inc
$2.4M
KRKroger Co/The
$2.4M
PHParker-Hannifin Corp
$2.4M
ROKRockwell Automation Inc
$2.4M
FASTFastenal Co
$2.4M
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