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Institutional Investment Manager
STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM
STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM (CIK: 0000938076) incorporated in Florida, located at 1801 Hermitage Blvd, Suite 100, Tallahassee, FL. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000938076-14-000004) filed in 2014.04.24
#
Name
Shares
Value ($)
%
Options
Notes
2101 TIFFANY 177,244 15,270 0.05%
2102 WESTERN UN CO 936,286 15,318 0.05%
2103 TRIPADVISOR INC 169,796 15,382 0.05%
2104 CIMAREX ENERGY 129,704 15,449 0.05%
2105 HOLLYFRONTIER CORP 325,304 15,478 0.05%
2106 MGM RESORTS INTERNATIONAL 598,861 15,487 0.05%
2107 RED HAT INC 292,354 15,489 0.05%
2108 MAXIM INTEGR 469,850 15,561 0.05%
2109 TRANSDIGM GROUP INC 84,164 15,587 0.05%
2110 FLOWSERVE CORP 199,540 15,632 0.05%
2111 NRG ENERGY INC 491,678 15,635 0.05%
2112 UNUM GROUP 444,452 15,694 0.05%
2113 TRACTOR SUPPLY CO 222,949 15,747 0.05%
2114 DTE ENERGY CO 212,690 15,801 0.05%
2115 ANNALY CAP MGMT INC 1,443,631 15,837 0.05%
2116 HELMERICH & PAYNE INC 147,298 15,843 0.05%
2117 REPUBLIC SVCS INC 463,919 15,847 0.05%
2118 HENRY SCHEIN INC 132,819 15,855 0.05%
2119 L-3 Communications Holdings 134,331 15,871 0.05%
2120 SMUCKER J M CO 163,890 15,937 0.05%
2121 AKAMAI TECHNOLOGIES INC 276,751 16,110 0.05%
2122 AFFILIATED MANAGERS GROUP 80,614 16,127 0.05%
2123 KLA-TENCOR CORP 234,668 16,225 0.05%
2124 LINEAR TECHNOLOGY CORP 333,765 16,251 0.05%
2125 CITRIX SYS INC 285,955 16,422 0.05%
2126 NVIDIA CORPORATION 919,790 16,473 0.05%
2127 ENTERGY CORP NEW 246,413 16,473 0.05%
2128 THOMSON REUTERS CORP 483,373 16,531 0.05%
2129 SIRIUS XM HOLDINGS INC 5,199,097 16,637 0.05%
2130 TEXTRON INC 425,226 16,707 0.05%
2131 FMC 218,530 16,731 0.05%
2132 GAP 417,701 16,733 0.05%
2133 CENTERPOINT ENERGY INC 711,277 16,850 0.05%
2134 AUTODESK INC 343,733 16,905 0.05%
2135 ROCKWELL COLLINS INC 212,528 16,932 0.06%
2136 Sigma-Aldrich 183,213 17,108 0.06%
2137 NISOURCE 486,958 17,302 0.06%
2138 WEC ENERGY CORP. 374,036 17,411 0.06%
2139 BUNGE LIMITED 219,280 17,435 0.06%
2140 KANSAS CITY SOUTHERN 171,512 17,505 0.06%
2141 CLOROX CO DEL 199,399 17,549 0.06%
2142 BARD C R INC 118,908 17,596 0.06%
2143 WHIRLPOOL CORP 117,934 17,626 0.06%
2144 DR PEPPER SNAPPLE GROUP INC 326,344 17,773 0.06%
2145 SLM CORP 726,467 17,784 0.06%
2146 FLUOR CORP NEW 229,038 17,803 0.06%
2147 DOLLAR TREE INC 342,434 17,868 0.06%
2148 HCA HEALTHCARE INC 345,760 18,152 0.06%
2149 NEWMONT CORP 778,440 18,247 0.06%
2150 ONEOK INC NEW 311,635 18,464 0.06%
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