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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
3701 MOODYS CORP 4,967,496 435,451 0.07%
3702 HARTFORD FINL SVCS GROUP INC 12,188,867 436,483 0.07%
3703 Xerox Corp 35,142,284 437,170 0.07%
3704 ESSEX PPTY TR INC 2,367,868 437,842 0.07%
3705 ANALOG DEVICES INC 8,135,300 439,876 0.07%
3706 BOSTON SCIENTIFIC CORP 35,026,077 447,283 0.07%
3707 AMERISOURCEBERGEN CORP 6,158,022 447,442 0.07%
3708 Alcoa 30,213,139 449,874 0.07%
3709 WYNN RESORTS LTD 2,176,622 451,780 0.08%
3710 KELLOGG CO 6,931,194 455,379 0.08%
3711 ZIMMER BIOMET HLDGS INC 4,407,411 457,754 0.08%
3712 SHERWIN WILLIAMS CO 2,217,937 458,913 0.08%
3713 ROCKWELL AUTOMATION INC 3,685,538 461,282 0.08%
3714 CONSOLIDATED EDISON INC 8,040,425 464,254 0.08%
3715 CHIPOTLE MEXICAN GRILL INC 791,711 469,097 0.08%
3716 TE CONNECTIVITY LTD 7,620,827 471,272 0.08%
3717 DOLLAR GEN CORP NEW 8,234,407 472,326 0.08%
3718 GENERAL GROWTH 20,272,570 477,622 0.08%
3719 PARKER HANNIFIN CORP 3,837,428 482,480 0.08%
3720 REYNOLDS AMERICAN INC 7,994,718 482,481 0.08%
3721 LAUDER ESTEE COS INC 6,566,003 487,591 0.08%
3722 HCA HEALTHCARE INC 8,649,206 487,642 0.08%
3723 FIFTH THIRD BANCORP 22,862,809 488,121 0.08%
3724 SOUTHWEST AIRLS CO 18,273,684 490,831 0.08%
3725 AGILENT TECHNOLOGIES INC 8,608,656 494,481 0.08%
3726 EDISON INTL 8,521,650 495,193 0.08%
3727 Mylan Laboratories Inc 9,623,914 496,209 0.08%
3728 MEAD JOHNSON NUTRITION CO 5,402,010 503,305 0.08%
3729 TESLA INC 2,115,915 507,947 0.08%
3730 PERRIGO CO PLC 3,490,733 508,809 0.08%
3731 AUTOZONE INC 950,206 509,538 0.08%
3732 WEYERHAEUSER CO 15,417,363 510,161 0.08%
3733 AVAGO TECHNOLOGIES LTD SHS 7,116,706 512,901 0.09%
3734 BROADCOM CORP CL A 14,144,907 525,059 0.09%
3735 HUMANA INC 4,125,968 526,969 0.09%
3736 WASTE MGMT INC DEL 11,789,612 527,349 0.09%
3737 WESTERN DIGITAL CORP 5,798,210 535,175 0.09%
3738 PUBLIC SVC ENTERPRISE GRP IN 13,258,842 540,828 0.09%
3739 TYCO INTL LTD. 11,932,448 544,120 0.09%
3740 ILLUMINA INC 3,081,872 550,237 0.09%
3741 ISHARES TR 5,141,553 566,136 0.09%
3742 INTERCONTINENTAL EXCHANGE IN 3,011,318 568,838 0.09%
3743 PACCAR INC 9,108,486 572,286 0.10%
3744 VERTEX PHARMACEUTICALS INC 6,062,597 574,007 0.10%
3745 LUMEN TECHNOLOGIES INC 15,938,570 576,976 0.10%
3746 ST JUDE MED INC 8,357,403 578,750 0.10%
3747 SYSCO CORP 15,482,259 579,811 0.10%
3748 V F CORP 9,242,156 582,256 0.10%
3749 McGraw Hill Group Inc 7,024,703 583,261 0.10%
3750 CME GROUP INC 8,240,540 584,666 0.10%
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