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Institutional Investment Manager
BlackRock Institutional Trust Company, N.A.
BlackRock Institutional Trust Company, N.A. (CIK: 0000913414) incorporated in California, located at 400 Howard Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Original 13F HR (0001086364-14-002506) filed in 2014.08.06
#
Name
Shares
Value ($)
%
Options
Notes
101 DirectTV Com 13,521,029 1,149,423 0.19%
102 KIMBERLY CLARK CORP 10,245,744 1,139,532 0.19%
103 LOCKHEED MARTIN CORP 7,083,806 1,138,580 0.19%
104 FEDEX CORP 7,389,975 1,118,694 0.19%
105 PRUDENTIAL FINL INC 12,516,067 1,111,051 0.18%
106 DOMINION ENERGY INC 15,476,892 1,106,907 0.18%
107 ISHARES TR 9,276,080 1,102,091 0.18%
108 BANK NEW YORK MELLON CORP 29,365,761 1,100,629 0.18%
109 TIME WARNER CABLE INC 7,326,428 1,079,183 0.18%
110 SOUTHERN CO 23,748,835 1,077,722 0.18%
111 COVIDIEN PLC 11,945,145 1,077,213 0.18%
112 WILLIAMS COS INC DEL 18,420,474 1,072,256 0.18%
113 BLACKROCK INC 3,238,930 1,035,162 0.17%
114 PRAXAIR INC 7,649,229 1,016,124 0.17%
115 APACHE CORP 10,062,136 1,012,452 0.17%
116 FREEPORT-MCMORAN INC 27,715,209 1,011,605 0.17%
117 AUTOMATIC DATA PROCESSING IN 12,748,254 1,010,682 0.17%
118 TJX COS INC NEW 18,972,569 1,008,392 0.17%
119 CBS CORP NEW 16,057,543 997,816 0.17%
120 ACTAVIS PLC 4,463,152 995,506 0.17%
121 BAKER HUGHES INC 13,149,700 978,995 0.16%
122 GENERAL DYNAMICS CORP 8,352,569 973,492 0.16%
123 TARGET CORP 16,747,212 970,501 0.16%
124 TRAVELERS COMPANIES INC 10,285,950 967,599 0.16%
125 PRECISION CASTPARTS 3,808,813 961,344 0.16%
126 VIACOM INC NEW 11,059,217 959,166 0.16%
127 EATON CORP PLC 12,406,469 957,531 0.16%
128 KRAFT HEINZ CO COM 15,930,964 955,061 0.16%
129 PUBLIC STORAGE 5,558,743 952,491 0.16%
130 YUM BRANDS INC 11,719,602 951,632 0.16%
131 AMERICAN TOWER CORP NEW 10,516,742 946,296 0.16%
132 MARATHON OIL CORP 23,310,218 930,544 0.15%
133 MICRON TECHNOLOGY INC 28,186,129 928,733 0.15%
134 NATIONAL OILWELL VARCO INC 11,195,923 921,984 0.15%
135 ACE LTD 8,857,732 918,547 0.15%
136 DEVON ENERGY CORP NEW 11,446,897 908,884 0.15%
137 YAHOO INC 25,441,344 893,754 0.15%
138 JOHNSON CTLS INTL PLC 17,837,675 890,635 0.15%
139 PPG INDS INC 4,214,535 885,685 0.15%
140 GENERAL MLS INC 16,623,160 873,381 0.15%
141 ISHARES TR 20,183,211 872,520 0.14%
142 ADOBE INC 12,047,383 871,749 0.14%
143 DELTA AIRLINES INC DEL 22,261,143 861,951 0.14%
144 SALESFORCE COM INC 14,837,680 861,772 0.14%
145 NORFOLK SOUTHERN CORP 8,327,910 858,025 0.14%
146 AMERICAN ELEC PWR INC 15,325,283 854,691 0.14%
147 DEERE & CO 9,380,881 849,439 0.14%
148 EXELON CORP 22,973,263 838,065 0.14%
149 CSX CORP 27,196,966 837,939 0.14%
150 PIONEER NAT RES CO 3,625,884 833,264 0.14%
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