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Institutional Investment Manager
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC (CIK: 0000861177) incorporated in Delaware, located at One North Wacker Drive, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0000861177-14-000014) filed in 2014.10.28
#
Name
Shares
Value ($)
%
Options
Notes
451 THERMO FISHER SCIENTIFIC INC 419,084 51,003 0.05%
452 ALLSTATE CORP 830,347 50,958 0.05%
453 MARATHON PETE CORP 601,372 50,918 0.05%
454 MONSANTO CO NEW 452,385 50,898 0.05%
455 WASTE MGMT INC DEL 1,069,523 50,834 0.05%
456 STARBUCKS CORP 673,267 50,805 0.05%
457 FORD MTR CO DEL 3,426,029 50,671 0.05%
458 GENERAL GROWTH 2,147,730 50,579 0.05%
459 GENERAL ELECTRIC CO 1,974,146 50,578 0.05%
460 PPG INDS INC 256,437 50,451 0.05%
461 SPECTRA ENERGY CORP 1,284,644 50,435 0.05%
462 PIONEER NAT RES CO 255,572 50,340 0.05%
463 GOLDCORP INC NEW 2,169,286 50,119 0.05%
464 AON PLC 569,220 49,904 0.05%
465 WESTERN DIGITAL CORP 510,979 49,728 0.05%
466 SYSCO CORP 1,307,428 49,617 0.05%
467 PHILLIPS 66 608,910 49,510 0.05%
468 MORGAN STANLEY 1,432,127 49,509 0.05%
469 SYMANTEC CORP 2,098,288 49,331 0.05%
470 COMCAST CORP NEW 920,992 49,273 0.05%
471 3M CO 346,107 49,036 0.05%
472 GENERAL MLS INC 968,409 48,856 0.05%
473 DUKE ENERGY CORP NEW 652,917 48,819 0.05%
474 AIR PRODS & CHEMS INC 373,958 48,682 0.05%
475 ALIBABA GROUP HLDG LTD 546,550 48,561 0.05%
476 CIGNA CORPORATION 535,183 48,536 0.05%
477 EOG RES INC 489,233 48,444 0.05%
478 TAIWAN SEMICONDUCTOR MFG LTD 2,399,900 48,430 0.05%
479 KINDER MORGAN INC DEL 1,262,345 48,398 0.05%
480 PRAXAIR INC 375,137 48,393 0.05%
481 SESA STERLITE 4%14F DUE 10/30/14 SESA STERLITE 48,405,000 48,151 0.05% PRN
482 ACCENTURE PLC IRELAND 591,546 48,105 0.05%
483 INTUITIVE SURGICAL INC 102,824 47,486 0.05%
484 GOLDMAN SACHS GROUP INC 258,304 47,417 0.05%
485 TE CONNECTIVITY LTD 857,534 47,413 0.05%
486 FEDEX CORP 293,597 47,401 0.05%
487 STRYKER CORP 585,856 47,308 0.05%
488 VIACOM INC NEW 611,861 47,077 0.05%
489 BB&T CORP 1,262,963 46,995 0.05%
490 CARDINAL HEALTH INC 626,332 46,925 0.05%
491 KROGER CO 902,073 46,908 0.05%
492 EOG RES INC 473,675 46,903 0.05%
493 SIMON PPTY GROUP INC NEW 284,968 46,854 0.05%
494 COSTCO WHSL CORP NEW 373,619 46,822 0.05%
495 MACYS INC 802,778 46,706 0.05%
496 AMERICAN EXPRESS CO 532,771 46,639 0.05%
497 VALERO ENERGY CORP NEW 1,006,165 46,555 0.05%
498 YUM BRANDS INC 644,860 46,417 0.05%
499 CONSOLIDATED EDISON INC 819,159 46,414 0.05%
500 REYNOLDS AMERICAN INC 783,817 46,245 0.05%
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