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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 (2016Q1)
Portfolio Summary: 2,295 holdings with a total value of $20,144,724,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 WESTERN UN CO 2,202,885 42,494,000 0.21%
102 INTERCONTINENTAL EXCHANGE IN 180,553 42,455,000 0.21%
103 PRUDENTIAL FINL INC 581,941 42,028,000 0.21%
104 SPDR SERIES TRUST 742,979 41,414,000 0.21%
105 3M CO 247,406 41,225,000 0.20%
106 OMNICOM GROUP INC 481,428 40,069,000 0.20%
107 NORTHROP GRUMMAN CORP 202,196 40,015,000 0.20%
108 APARTMENT INVT & MGMT CO 953,666 39,882,000 0.20%
109 MACYS INC 903,098 39,818,000 0.20%
110 FMC TECHNOLOGIES INC 1,451,231 39,706,000 0.20%
111 EDWARDS LIFESCIENCES CORP 448,921 39,599,000 0.20%
112 ALTRIA GROUP INC 627,475 39,318,000 0.20%
113 CABOT CORP 807,237 39,014,000 0.19%
114 ARCHER DANIELS MIDLAND CO 1,061,995 38,561,000 0.19%
115 MASCO CORP 1,225,460 38,541,000 0.19%
116 SYSCO CORP 821,152 38,372,000 0.19%
117 AECOM 1,241,419 38,223,000 0.19%
118 RESMED INC 659,537 38,134,000 0.19%
119 BEST BUY INC 1,170,328 37,965,000 0.19%
120 TEVA PHARMACEUTICAL INDS LTD 702,480 37,590,000 0.19%
121 HAWAIIAN HOLDINGS INC COM 784,380 37,015,000 0.18%
122 HCA HOLDINGS INC 472,990 36,917,000 0.18%
123 RED HAT INC 492,198 36,674,000 0.18%
124 RELIANCE STEEL & ALUMINUM CO 528,974 36,600,000 0.18%
125 UNITED RENTALS INC 576,903 35,878,000 0.18%
126 VERTEX PHARMACEUTICALS INC 448,912 35,684,000 0.18%
127 HONEYWELL INTL INC 317,482 35,574,000 0.18%
128 MASTERCARD INCORPORATED 371,338 35,091,000 0.17%
129 YUM BRANDS INC 425,308 34,811,000 0.17%
130 FLEX LTD 2,872,654 34,644,000 0.17%
131 AMERIPRISE FINL INC 365,767 34,386,000 0.17%
132 AMERICAN EXPRESS CO 554,917 34,072,000 0.17%
133 L BRANDS INC 386,655 33,952,000 0.17%
134 MORGAN STANLEY 1,354,827 33,884,000 0.17%
135 XILINX INC 712,401 33,789,000 0.17%
136 XYLEM INC 819,845 33,532,000 0.17%
137 SPIRIT AEROSYSTEMS HLDGS INC 737,494 33,453,000 0.17%
138 TJX COS INC NEW 422,280 33,086,000 0.16%
139 CBRE GROUP INC 1,134,159 32,686,000 0.16%
140 MOLSON COORS BREWING CO 339,539 32,657,000 0.16%
141 VANTIV INC 589,833 31,780,000 0.16%
142 PRINCIPAL FIN GROUP 802,870 31,673,000 0.16%
143 UNITED TECHNOLOGIES CORP 315,884 31,620,000 0.16%
144 AVERY DENNISON CORP 434,828 31,355,000 0.16%
145 SNAP ON INC 197,326 30,978,000 0.15%
146 FIFTH THIRD BANCORP 1,852,809 30,923,000 0.15%
147 HANOVER INS GROUP INC 338,648 30,553,000 0.15%
148 CHARLES RIV LABS INTL INC 399,468 30,336,000 0.15%
149 TYSON FOODS INC 454,892 30,323,000 0.15%
150 WESTERN ALLIANCE BANCORP 890,613 29,729,000 0.15%
Page 3 of 46

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-16-065461, filed 2016.05.16).

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.