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Institutional Investment Manager
Invesco Ltd.
Invesco Ltd. (CIK: 0000914208), registered under Investment Advice, located at 1331 Spring Street Nw, Atlanta, GA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Original 13F HR (0001140361-14-032431) filed in 2014.08.14
#
Name
Shares
Value ($)
%
Options
Notes
251 VMWARE INC 2,684,573 259,894 0.10%
252 BROOKFIELD ASSET MGMT INC 5,884,379 259,571 0.10%
253 CSX CORP 8,380,403 258,200 0.10%
254 WILLIS TOWERS WATSON PLC 5,865,009 253,955 0.10%
255 AMERICAN EXPRESS CO 2,676,561 253,925 0.10%
256 BAIDU INC 1,345,058 251,270 0.10%
257 BROOKDALE SENIOR LIVING INC COM 7,526,877 250,946 0.10%
258 CARDINAL HEALTH INC 3,658,784 250,846 0.10%
259 EMERSON ELEC CO 3,754,668 249,160 0.10%
260 PIONEER NAT RES CO 1,081,042 248,434 0.10%
261 Ubs Ag Shs New 13,519,617 247,987 0.10%
262 MACYS INC 4,259,328 247,126 0.10%
263 CAMPBELL SOUP CO 5,376,124 246,280 0.10%
264 WESTERN DIGITAL CORP 2,660,114 245,529 0.10%
265 INTUIT 3,031,947 244,163 0.10%
266 F5 NETWORKS INC 2,176,692 242,571 0.10%
267 Walgreens 3,253,010 241,146 0.09%
268 HEALTHCARE RLTY TR 9,426,125 239,612 0.09%
269 PROGRESSIVE CORP OHIO 9,432,488 239,208 0.09%
270 MARRIOTT INTL INC NEW 3,721,524 238,550 0.09%
271 PACCAR INC 3,751,997 235,738 0.09%
272 FREEPORT-MCMORAN INC 6,457,463 235,697 0.09%
273 KOHLS CORP 4,457,138 234,802 0.09%
274 PLUM CREEK TIMBER 5,203,340 234,671 0.09%
275 O REILLY AUTOMOTIVE INC NEW 1,548,483 233,202 0.09%
276 VERTEX PHARMACEUTICALS INC 2,459,644 232,879 0.09%
277 ICICI BANK LIMITED 4,653,533 232,211 0.09%
278 HEALTHCARE TRUST AMERICA INC CL A NEW 19,246,362 231,726 0.09%
279 DANA INCORPORATED 9,482,205 231,555 0.09%
280 ENCANA CORP 9,699,320 230,082 0.09%
281 COUSINS PROPERTIES INC 18,448,000 229,678 0.09%
282 KRAFT HEINZ CO COM 3,830,316 229,627 0.09%
283 KEURIG GREEN MTN INC 1,840,087 229,293 0.09%
284 EOG RES INC 1,961,424 229,212 0.09%
285 US BANCORP DEL 5,246,325 227,271 0.09%
286 MCDONALDS CORP 2,246,833 226,346 0.09%
287 MICROSOFT CORP 5,423,219 226,148 0.09%
288 VODAFONE GROUP PLC NEW 6,749,223 225,357 0.09%
289 UNIVERSAL HLTH SVCS INC 2,353,066 225,330 0.09%
290 HOME DEPOT INC 2,771,453 224,377 0.09%
291 WYNN RESORTS LTD 1,079,340 224,028 0.09%
292 DISNEY WALT CO 2,596,253 222,603 0.09%
293 PINNACLE WEST 3,769,454 218,025 0.09%
294 AT&T INC 6,122,515 216,492 0.09%
295 SHIRE PLC 916,956 215,934 0.08%
296 CHEVRON CORP NEW 1,650,154 215,428 0.08%
297 CIGNA CORPORATION 2,333,641 214,625 0.08%
298 Sigma-Aldrich 2,110,934 214,218 0.08%
299 SIRIUS XM HOLDINGS INC 61,471,463 212,691 0.08%
300 EXXON MOBIL CORP 2,110,908 212,526 0.08%
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