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Institutional Investment Manager
ROYAL LONDON ASSET MANAGEMENT LTD
ROYAL LONDON ASSET MANAGEMENT LTD (CIK: 0000863748), located at 80 Fenchurch Street, United Kingdom, X0. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000863748-14-000003) filed in 2014.05.21
#
Name
Shares
Value ($)
%
Options
Notes
501 SYMANTEC CORP 274,445 5,835 0.14%
502 SYNOPSYS INC 35,275 1,350 0.03%
503 SYSCO CORP 137,380 5,053 0.12%
504 Safeway Inc - Safeway PDC LLC CVR 54,020 1,857 0.04%
505 Spectra Energy Corp Com 154,752 6,130 0.14%
506 T MOBILE US INC 60,479 1,953 0.05%
507 TARGET CORP 147,292 8,784 0.20%
508 TD AMERITRADE HLDG CORP 51,164 1,620 0.04%
509 TECO ENERGY INC COM 49,484 850 0.02%
510 TERADATA CORP DEL 37,169 1,499 0.03%
511 TESLA INC 20,161 3,723 0.09%
512 TEXAS INSTRS INC 254,430 11,945 0.28%
513 TEXTRON INC 64,755 2,581 0.06%
514 THERMO FISHER SCIENTIFIC INC 92,873 10,992 0.26%
515 TIFFANY & CO NEW 27,439 2,459 0.06%
516 TIME WARNER INC 209,296 14,534 0.34%
517 TIME WARNER INC NEW 65,044 8,985 0.21%
518 TJX COS INC NEW 165,763 9,923 0.23%
519 TOLL BROTHERS INC 38,493 1,338 0.03%
520 TORCHMARK CORP COM 20,301 1,657 0.04%
521 TOTAL SYS SVCS INC 38,567 1,255 0.03%
522 TOWERS WATSON & CO 16,465 1,800 0.04%
523 TRACTOR SUPPLY CO 24,371 1,621 0.04%
524 TRANSDIGM GROUP INC 10,340 1,855 0.04%
525 TRAVELERS COMPANIES INC 82,468 7,590 0.18%
526 TRIMBLE INC 60,116 2,139 0.05%
527 TRIPADVISOR INC 23,646 2,117 0.05%
528 TRW AUTOMOTIVE HLDGS CORP 26,389 2,136 0.05%
529 TYSON FOODS INC 64,034 2,550 0.06%
530 ULTRA PETROLEUM CORP 34,792 970 0.02%
531 UNION PAC CORP 106,250 20,361 0.47%
532 UNITED CONTL HLDGS INC 22,370 930 0.02%
533 UNITED PARCEL SERVICE INC 167,539 17,007 0.40%
534 UNITED STATES STL CORP NEW 33,527 868 0.02%
535 UNITED TECHNOLOGIES CORP 212,338 25,190 0.59%
536 UNITEDHEALTH GROUP INC 277,903 21,604 0.50%
537 UNIVERSAL HLTH SVCS INC 21,717 1,831 0.04%
538 UNUM GROUP 61,641 2,109 0.05%
539 URBAN OUTFITTERS INC 26,035 960 0.02%
540 US BANCORP DEL 534,515 21,621 0.50%
541 V F CORP 80,829 5,077 0.12%
542 VALERO ENERGY CORP NEW 124,348 6,998 0.16%
543 VARIAN MED SYS INC 24,233 2,021 0.05%
544 VENTAS INC 69,079 4,623 0.11%
545 VERISIGN INC 31,984 1,563 0.04%
546 VERISK ANALYTICS INC 32,302 1,985 0.05%
547 VERIZON COMMUNICATIONS INC 965,836 46,515 1.08%
548 VERTEX PHARMACEUTICALS INC 54,979 3,724 0.09%
549 VIACOM INC NEW 90,468 7,650 0.18%
550 VISA INC 118,388 25,063 0.58%
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