Dark
Light
System
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
301 AMPHENOL CORP NEW 229,964 21,076 0.07%
302 ZOETIS INC 724,562 20,969 0.07%
303 Alcoa 1,623,174 20,890 0.07%
304 GENERAL GROWTH 946,948 20,833 0.07%
305 JUNIPER NETWORKS INC 808,691 20,832 0.07%
306 BROWN FORMAN CORP 232,145 20,821 0.07%
307 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 260,990 20,775 0.07%
308 CHENIERE ENERGY INC 372,368 20,611 0.07%
309 DISH NETWORK A 327,972 20,403 0.07%
310 CONAGRA BRANDS INC 653,334 20,273 0.07%
311 CONSTELLATION BRANDS INC 238,551 20,270 0.07%
312 L BRANDS INC 356,463 20,236 0.07%
313 AMETEK INC NEW 391,529 20,160 0.07%
314 TYSON FOODS INC 455,552 20,049 0.07%
315 CONCHO RESOURCES 163,341 20,009 0.07%
316 EASTMAN CHEM CO 231,919 19,994 0.07%
317 GENUINE PARTS CO 229,830 19,961 0.06%
318 MARRIOTT INTL INC NEW 356,240 19,957 0.06%
319 PRINCIPAL FIN GROUP 433,608 19,942 0.06%
320 BEAM INC 239,185 19,924 0.06%
321 NETAPP INC 534,737 19,732 0.06%
322 COCA COLA EUROPEAN PARTNERS SHS 412,425 19,697 0.06%
323 ROPER TECHNOLOGIES INC 147,464 19,688 0.06%
324 DAVITA INC 285,665 19,668 0.06%
325 LIBERTY MEDIA SER A 150,448 19,668 0.06%
326 FMC TECHNOLOGIES INC 374,352 19,575 0.06%
327 ANALOG DEVICES INC 359,917 19,126 0.06%
328 SBA COMMUNICATIONS CORP 210,030 19,104 0.06%
329 LOEWS CORP 431,323 19,000 0.06%
330 MURPHY OIL CORP 296,986 18,669 0.06%
331 STANLEY BLACK &DECKER INC 229,515 18,646 0.06%
332 KOHLS CORP 327,643 18,610 0.06%
333 PAYCHEX INC 435,639 18,558 0.06%
334 ALTERA CORPORATION 510,261 18,492 0.06%
335 ONEOK INC NEW 311,635 18,464 0.06%
336 NEWMONT CORP 778,440 18,247 0.06%
337 HCA HEALTHCARE INC 345,760 18,152 0.06%
338 DOLLAR TREE INC 342,434 17,868 0.06%
339 FLUOR CORP NEW 229,038 17,803 0.06%
340 SLM CORP 726,467 17,784 0.06%
341 DR PEPPER SNAPPLE GROUP INC 326,344 17,773 0.06%
342 WHIRLPOOL CORP 117,934 17,626 0.06%
343 BARD C R INC 118,908 17,596 0.06%
344 CLOROX CO DEL 199,399 17,549 0.06%
345 KANSAS CITY SOUTHERN 171,512 17,505 0.06%
346 BUNGE LIMITED 219,280 17,435 0.06%
347 WEC ENERGY CORP. 374,036 17,411 0.06%
348 NISOURCE 486,958 17,302 0.06%
349 Sigma-Aldrich 183,213 17,108 0.06%
350 ROCKWELL COLLINS INC 212,528 16,932 0.06%
Page 7 of 50