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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 (2016Q3)
Portfolio Summary: 2,426 holdings with a total value of $20,977,247,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 5,885,608 665,368,000 3.17%
2 MICROSOFT CORP 8,357,241 481,377,000 2.29%
3 AMAZON COM INC 423,978 355,001,000 1.69%
4 PROCTER AND GAMBLE CO 3,898,872 349,924,000 1.67%
5 FACEBOOK INC 2,596,465 333,049,000 1.59%
6 JOHNSON & JOHNSON 2,708,321 319,934,000 1.53%
7 EXXON MOBIL CORP 3,483,419 304,033,000 1.45%
8 VERIZON COMMUNICATIONS INC 5,717,890 297,216,000 1.42%
9 PEPSICO INC 2,444,859 265,927,000 1.27%
10 ALPHABET INC 288,869 224,535,000 1.07%
11 PFIZER INC 6,499,508 220,138,000 1.05%
12 CISCO SYS INC 6,794,125 215,510,000 1.03%
13 COMCAST CORP NEW 3,131,984 207,776,000 0.99%
14 ALPHABET INC 252,864 203,318,000 0.97%
15 JPMORGAN CHASE & CO 2,914,874 194,101,000 0.93%
16 AT&T INC 4,600,640 186,832,000 0.89%
17 HOME DEPOT INC 1,451,796 186,817,000 0.89%
18 ISHARES TR 1,432,360 176,429,000 0.84%
19 AMGEN INC 1,001,935 167,133,000 0.80%
20 BOEING CO 1,219,435 160,648,000 0.77%
21 MERCK & CO INC 2,519,986 157,272,000 0.75%
22 AETNA INC NEW 1,346,244 155,424,000 0.74%
23 WAL-MART STORES INC 2,125,540 153,294,000 0.73%
24 INTEL CORP 3,903,552 147,359,000 0.70%
25 BANK AMER CORP 9,088,538 142,236,000 0.68%
26 CHEVRON CORP NEW 1,331,789 137,068,000 0.65%
27 GENERAL ELECTRIC CO 4,582,399 135,731,000 0.65%
28 SUNTRUST BKS INC 3,071,543 134,534,000 0.64%
29 INTERNATIONAL BUSINESS MACHS 826,832 131,342,000 0.63%
30 DOW CHEM CO 2,438,021 126,363,000 0.60%
31 SIMON PROPERTY GROUP 571,171 118,238,000 0.56%
32 CITIGROUP INC 2,484,600 117,348,000 0.56%
33 BERKSHIRE HATHAWAY INC DEL 798,573 115,370,000 0.55%
34 MCKESSON CORP 686,771 114,519,000 0.55%
35 TEXAS INSTRS INC 1,622,231 113,848,000 0.54%
36 UNITEDHEALTH GROUP INC 805,707 112,799,000 0.54%
37 GENERAL MLS INC 1,718,719 109,792,000 0.52%
38 CITRIX SYS INC 1,283,417 109,373,000 0.52%
39 DR PEPPER SNAPPLE GROUP INC 1,188,848 108,554,000 0.52%
40 CARDINAL HEALTH INC 1,388,202 107,863,000 0.51%
41 COCA COLA CO 2,470,350 104,545,000 0.50%
42 LOWES COS INC 1,354,424 97,803,000 0.47%
43 XEROX CORP 9,395,165 95,173,000 0.45%
44 WELLS FARGO & CO NEW 2,144,033 94,938,000 0.45%
45 OMNICOM GROUP INC 1,106,447 94,048,000 0.45%
46 GILEAD SCIENCES INC 1,171,148 92,661,000 0.44%
47 NUCOR CORP 1,866,498 92,298,000 0.44%
48 LYONDELLBASELL INDUSTRIES N 1,143,468 92,232,000 0.44%
49 AGILENT TECHNOLOGIES INC 1,944,911 91,586,000 0.44%
50 F5 NETWORKS INC 732,151 91,255,000 0.44%
Page 1 of 49

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-16-086574, filed 2016.11.14).

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.