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Institutional Investment Manager
MEEDER ASSET MANAGEMENT INC
MEEDER ASSET MANAGEMENT INC (CIK: 0000809443) incorporated in Ohio, located at 6125 Memorial Drive, Dublin, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 811 holdings with a total value of $1,107,613,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 TOTAL SYS SVCS INC 29,890 1,488,000 0.13%
152 LEGGETT &PLATT INC 33,890 1,425,000 0.13%
153 FEDEX CORP 9,530 1,419,000 0.13%
154 XEROX CORP 131,827 1,401,000 0.13%
155 NEUROCRINE BIOSCIE COM USD0.001 24,641 1,394,000 0.13%
156 XILINX INC 29,562 1,389,000 0.13%
157 COSTCO WHSL CORP NEW 8,361 1,350,000 0.12%
158 DELTA AIRLINES INC DEL 26,571 1,347,000 0.12%
159 BROCADE COMMUNICATIONS SYS I 145,700 1,338,000 0.12%
160 WHIRLPOOL CORP 9,020 1,325,000 0.12%
161 WESTERN REFNG INC 36,850 1,312,000 0.12%
162 TARGET CORP 17,988 1,307,000 0.12%
163 EMCOR GROUP INC 27,156 1,305,000 0.12%
164 PUBLIC SVC ENTERPRISE GRP IN 33,410 1,293,000 0.12%
165 JUNIPER NETWORKS 46,809 1,292,000 0.12%
166 COMERICA INC 29,225 1,223,000 0.11%
167 DISNEY WALT CO 11,633 1,223,000 0.11%
168 NASDAQ OMX GROUP 20,985 1,221,000 0.11%
169 AMGEN INC 7,387 1,199,000 0.11%
170 SYMANTEC CORP 56,177 1,179,000 0.11%
171 LOCKHEED MARTIN CORP 5,347 1,161,000 0.10%
172 LENDINGTREE INC NEW COM 12,965 1,158,000 0.10%
173 HARRIS CORP 13,257 1,152,000 0.10%
174 ADOBE INC 12,130 1,139,000 0.10%
175 PERKINELMER INC 20,933 1,121,000 0.10%
176 TIME WARNER INC 17,147 1,109,000 0.10%
177 ITC HOLDINGS 27,924 1,096,000 0.10%
178 PAYPAL HLDGS INC 30,161 1,092,000 0.10%
179 CHEMED CORP NEW COM 7,259 1,087,000 0.10%
180 CONVERGYS CORPORATION 43,631 1,086,000 0.10%
181 POWERSHARES ETF TR II 39,339 1,074,000 0.10%
182 BEST BUY INC 34,365 1,047,000 0.09%
183 Veolia Environnement 44,356 1,046,000 0.09%
184 FAIRCHILD SEMICONDUCTOR INTLCOM 50,209 1,040,000 0.09%
185 Teekay Tankers LTD 150,261 1,034,000 0.09%
186 SPDR S&P MIDCAP 400 ETF TR 4,063 1,032,000 0.09%
187 TYLER TECHNOLOGIES INC 5,838 1,017,000 0.09%
188 VERISIGN INC 11,522 1,006,000 0.09%
189 ISHARES TR 10,197 998,000 0.09%
190 HD SUPPLY HLDGS INCORPORATED 32,477 976,000 0.09%
191 POST HLDGS INC 15,710 969,000 0.09%
192 MDU RES GROUP INC 52,797 967,000 0.09%
193 STARBUCKS CORP 16,041 964,000 0.09%
194 DREAMWORKS ANIMATION SKG INC 37,058 955,000 0.09%
195 VISA INC 12,312 955,000 0.09%
196 POLYCOM INC 75,605 952,000 0.09%
197 MACK-CALI REALTY CORP COM 40,414 943,000 0.09%
198 AMEDISYS INC COM 23,935 941,000 0.08%
199 KEYCORP 70,986 937,000 0.08%
200 DEXCOM INC 11,217 919,000 0.08%
Page 4 of 17

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001398344-16-009071, filed 2016.01.15).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.