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Institutional Investment Manager
PANAGORA ASSET MANAGEMENT INC
PANAGORA ASSET MANAGEMENT INC (CIK: 0000883677) incorporated in Delaware, located at One International Place, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 2,331 holdings with a total value of $19,696,734,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 LOCKHEED MARTIN CORP 242,332 49,184,000 0.25%
102 COSTCO WHSL CORP NEW 322,681 48,885,000 0.25%
103 WESTERN DIGITAL CORP 536,670 48,842,000 0.25%
104 SCHLUMBERGER LTD 585,237 48,832,000 0.25%
105 LUMEN TECHNOLOGIES INC 1,393,890 48,159,000 0.24%
106 SEAGATE TECHNOLOGY PLC 920,512 47,894,000 0.24%
107 BED BATH & BEYOND INC 619,801 47,585,000 0.24%
108 INTL PAPER CO 851,164 47,231,000 0.24%
109 CATERPILLAR INC 584,925 46,812,000 0.24%
110 REGENERON PHARMACEUTICALS 101,951 46,029,000 0.23%
111 MARATHON PETE CORP 446,039 45,670,000 0.23%
112 PULTEGROUP 2,044,328 45,445,000 0.23%
113 VERTEX PHARMACEUT 382,586 45,134,000 0.23%
114 ROCK-TENN COMPANY 697,305 44,976,000 0.23%
115 EDWARDS LIFESCIENCES CORP 314,249 44,768,000 0.23%
116 EXPRESS SCRIPTS HLDG CO 512,640 44,482,000 0.23%
117 CONAGRA BRANDS 1,208,194 44,135,000 0.22%
118 MASCO CORP 1,640,337 43,797,000 0.22%
119 ALBEMARLE CORP 819,725 43,314,000 0.22%
120 HALLIBURTON 981,981 43,089,000 0.22%
121 AECOM 1,383,179 42,630,000 0.22%
122 JUNIPER NETWORKS 1,868,863 42,199,000 0.21%
123 BOEING CO 281,164 42,197,000 0.21%
124 DUKE REALTY CORP 1,919,096 41,779,000 0.21%
125 UNITEDHEALTH GROUP INC 351,215 41,545,000 0.21%
126 HUMANA 231,914 41,285,000 0.21%
127 MONDELEZ INTL INC 1,115,553 40,260,000 0.20%
128 TIME WARNER INC NEW 262,811 39,390,000 0.20%
129 MOLSON COORS BREWING CO 529,053 39,388,000 0.20%
130 AMDOCS LTD 719,451 39,138,000 0.20%
131 REGIONS FINANCIAL CORP NEW 4,124,717 38,979,000 0.20%
132 EQUITY LIFESTYLE PPTYS INC 699,154 38,419,000 0.20%
133 COMPUTER SCIENCE 582,503 38,026,000 0.19%
134 HESS CORP 557,551 37,841,000 0.19%
135 PARKER HANNIFIN CORP 313,764 37,269,000 0.19%
136 AGILENT TECHNOLOGIES INC 883,576 36,713,000 0.19%
137 FISERV INC 461,476 36,641,000 0.19%
138 PORTLAND GEN ELEC CO 971,365 36,029,000 0.18%
139 SHERWIN WILLIAMS CO 124,949 35,548,000 0.18%
140 GENERAL GROWTH PPTYS INC NEW 1,183,834 34,982,000 0.18%
141 BAKER HUGHES INC 548,424 34,869,000 0.18%
142 UNIVERSAL HLTH SVCS INC 295,622 34,798,000 0.18%
143 ENTERGY CORP NEW 446,723 34,616,000 0.18%
144 VISA INC 527,269 34,489,000 0.18%
145 STARWOOD HOTELS & RESORTS WLDWDE ORD 412,274 34,425,000 0.17%
146 PARTNERRE LTD 298,166 34,089,000 0.17%
147 BECTON DICKINSON & CO 234,029 33,604,000 0.17%
148 EOG RES INC 362,509 33,238,000 0.17%
149 BROCADE COMMUNICATIONS SYS I 2,797,057 33,187,000 0.17%
150 INVESTORS BANCORP INC NEW 2,824,373 33,102,000 0.17%
Page 3 of 47

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-15-019998, filed 2015.05.15).

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.