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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
151 SNAP ON INC 224,882 33,071,000 0.17%
152 EBAY INC 572,657 33,031,000 0.17%
153 NORTHROP GRUMMAN CORP 202,990 32,673,000 0.17%
154 CLOROX CO DEL 294,758 32,538,000 0.17%
155 Ashland Inc New 249,839 31,807,000 0.16%
156 IONIS PHARMACEUTICAL 498,653 31,749,000 0.16%
157 BLACKROCK INC 86,733 31,730,000 0.16%
158 EASTMAN CHEM CO 457,672 31,698,000 0.16%
159 DILLARDS INC 230,696 31,492,000 0.16%
160 FLEX LTD 2,440,234 30,930,000 0.16%
161 F5 NETWORKS INC 265,507 30,517,000 0.15%
162 AMERICAN ELEC P 532,405 29,948,000 0.15%
163 AFFILIATED MANAGERS GROUP 135,916 29,192,000 0.15%
164 EQT CORP 347,796 28,822,000 0.15%
165 BUNGE LIMITED 347,724 28,639,000 0.15%
166 YAHOO INC 644,134 28,622,000 0.15%
167 DAVITA INC 352,094 28,618,000 0.15%
168 MASTERCARD INCORPORATED 314,121 27,137,000 0.14%
169 WESTAR ENERGY 698,680 27,081,000 0.14%
170 PHILLIPS 66 342,794 26,944,000 0.14%
171 SL GREEN REALTY CORP 205,915 26,435,000 0.13%
172 L BRANDS INC 280,155 26,416,000 0.13%
173 APARTMENT INVT & MGMT CO 668,007 26,293,000 0.13%
174 JONES LANG LASALLE 153,896 26,224,000 0.13%
175 APPLIED MATLS INC 1,148,985 25,921,000 0.13%
176 DELUXE CORP COM 372,239 25,789,000 0.13%
177 ROYAL CARIBBEAN GROUP 313,723 25,678,000 0.13%
178 UNITED RENTALS 279,310 25,462,000 0.13%
179 MARRIOTT VACATIONS WORLDWIDE C COM 311,572 25,253,000 0.13%
180 QORVO 313,633 24,997,000 0.13%
181 FRONTIER COMM 3,543,725 24,983,000 0.13%
182 AMERICAN TOWER CORP NEW 264,961 24,946,000 0.13%
183 TERADATA CORP DEL 558,957 24,672,000 0.13%
184 REINSURANCE GROUP AMER INC 263,786 24,582,000 0.12%
185 ONE GAS INC COM 562,260 24,306,000 0.12%
186 KEURIG GREEN MTN INC 215,438 24,071,000 0.12%
187 NABORS INDUSTRIES LTD 1,748,629 23,869,000 0.12%
188 DANAHER CORP DEL 279,692 23,746,000 0.12%
189 CUMMINS INC 171,114 23,723,000 0.12%
190 PACKAGING CORP AMER 302,577 23,658,000 0.12%
191 SYNOPSYS INC 506,207 23,448,000 0.12%
192 ISHARES TR 730,398 23,438,000 0.12%
193 DOW CHEM CO 486,660 23,350,000 0.12%
194 MICRON TECHNOLOGY INC 852,526 23,129,000 0.12%
195 HEALTH NET INC 381,235 23,061,000 0.12%
196 WESTERN ALLIANCE BANCORP COM 777,757 23,053,000 0.12%
197 Adt Corp 550,281 22,848,000 0.12%
198 KEYSIGHT TECHNOLOGIES INC COM 615,028 22,848,000 0.12%
199 CITIZENS FINL GROUP INC 940,142 22,686,000 0.12%
200 HCA HOLDINGS INC 301,378 22,673,000 0.12%
Page 4 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.