Dark
Light
System
Institutional Investment Manager
HARTFORD INVESTMENT MANAGEMENT CO
HARTFORD INVESTMENT MANAGEMENT CO (CIK: 0000922439) incorporated in Delaware, located at One Hartford Plaza, Hartford, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0000922439-17-000005) filed in 2017.02.10
#
Name
Shares
Value ($)
%
Options
Notes
401 ALERE INC 68,147 2,656 0.05%
402 Macy's Inc 73,932 2,648 0.05%
403 SL Green Realty Corp 24,495 2,634 0.05%
404 Cabot Oil & Gas Corp 112,753 2,634 0.05%
405 Arthur J Gallagher & Co 50,664 2,633 0.05%
406 CHIPOTLE MEXICAN GRILL INC 6,970 2,630 0.05%
407 CENTERPOINT ENERGY INC 106,634 2,627 0.05%
408 Juniper Networks Inc. 92,961 2,627 0.05%
409 Waters Corp 19,475 2,617 0.05%
410 METTLER TOLEDO INTERNATIONAL 6,226 2,606 0.05%
411 Kimco Realty Corp (Reit) 102,952 2,590 0.05%
412 STERICYCLE INC 33,529 2,583 0.05%
413 UNUM GROUP 58,787 2,583 0.05%
414 SCANA CORP NEW 35,197 2,579 0.05%
415 The Western Union Co 118,706 2,578 0.05%
416 ALASKA AIR GROUP INC 28,874 2,562 0.05%
417 MASCO CORP 79,887 2,526 0.05%
418 CH ROBINSON WORLDWIDE INC 34,334 2,515 0.05%
419 HARLEY DAVIDSON INC 42,917 2,504 0.05%
420 Tesoro Corp. 28,638 2,504 0.05%
421 ACUITY BRANDS (HOLDING CO) INC 10,696 2,469 0.05%
422 Federal Realty Investment Trust 17,351 2,466 0.05%
423 MOSAIC CO NEW 84,041 2,465 0.05%
424 Expeditors International of Washington 46,450 2,460 0.05%
425 NETAPP INC 68,749 2,425 0.05%
426 CINTAS CORP 20,876 2,412 0.05%
427 SNAP ON INC. 13,973 2,393 0.04%
428 Whole Foods Mkt Inc 77,400 2,381 0.04%
429 E TRADE FINANCIAL 68,593 2,377 0.04%
430 Extra Space Storage Inc 30,685 2,370 0.04%
431 Coach Inc 67,633 2,369 0.04%
432 FOOT LOCKER INC 33,256 2,358 0.04%
433 F5 Networks Inc 16,261 2,353 0.04%
434 ALBEMARLE CORP 27,306 2,351 0.04%
435 TORCHMARK CORP 31,717 2,339 0.04%
436 CENTENE CORP DEL 41,305 2,334 0.04%
437 HARTFORD FINL SVCS GROUP INC 48,862 2,328 0.04%
438 PBF ENERGY INC 83,385 2,325 0.04%
439 Xylem Inc 46,902 2,323 0.04%
440 UNIVERSAL HLTH SVCS INC 21,634 2,301 0.04%
441 PENTAIR 40,698 2,282 0.04%
442 MATTEL INC 82,745 2,280 0.04%
443 LKQ CORP 74,194 2,274 0.04%
444 INTERNATIONAL FLAVORS & FRAGRA 19,245 2,268 0.04%
445 INTERPUBLIC GROUP 96,852 2,267 0.04%
446 D R HORTON INC 82,782 2,262 0.04%
447 KANSAS CITY SOUTHERN 26,001 2,206 0.04%
448 Zions Bancorporation 51,002 2,195 0.04%
449 Sealed Air Corp 48,272 2,189 0.04%
450 KOHLS CORP 43,635 2,155 0.04%
Page 9 of 13