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Institutional Investment Manager
BlackRock Fund Advisors
BlackRock Fund Advisors (CIK: 0001006249) incorporated in Delaware, located at 400 Howard Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 3,867 holdings with a total value of $355,134,998,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 Anthem, Inc. 3,075,629 330,968,000 0.09%
202 SALIX PHARMACEUTICALS INC 2,673,206 329,740,000 0.09%
203 ISHARES TR 1,658,000 326,626,000 0.09%
204 RAYTHEON CO 3,524,464 325,132,000 0.09%
205 NETFLIX INC 737,893 325,116,000 0.09%
206 VIACOM CLASS B 3,743,843 324,704,000 0.09%
207 UDR INC 11,335,845 324,545,000 0.09%
208 AETNA INC NEW 3,998,178 324,172,000 0.09%
209 AON PLC 3,586,499 323,108,000 0.09%
210 VALERO ENERGY CORP NEW 6,394,012 320,340,000 0.09%
211 TOLL BROTHERS INC 8,631,540 318,504,000 0.09%
212 KROGER CO 6,431,286 317,898,000 0.09%
213 ARTHUR J GALLAGHER 6,805,729 317,147,000 0.09%
214 BECTON DICKINSON & CO 2,669,340 315,783,000 0.09%
215 SYSCO CORP 8,430,264 315,713,000 0.09%
216 UNS ENERGY CORP 5,217,963 315,217,000 0.09%
217 PPG INDS INC 1,492,500 313,649,000 0.09%
218 SUNTRUST BKS INC 7,806,301 312,720,000 0.09%
219 CMS Energy Corp 5,303,888 312,664,000 0.09%
220 HENRY SCHEIN INC 2,612,179 309,948,000 0.09%
221 SCANA 5,743,046 309,033,000 0.09%
222 CARDINAL HEALTH INC 4,485,847 307,550,000 0.09%
223 DEERE & CO 3,393,311 307,264,000 0.09%
224 COGNIZANT TECHNOLOGY SOLUTIO 6,277,267 307,021,000 0.09%
225 SCHWAB CHARLES CORP 11,350,153 305,660,000 0.09%
226 JOHNSON CTLS INTL PLC 6,116,460 305,395,000 0.09%
227 KINDER MORGAN INC DEL 8,380,616 303,881,000 0.09%
228 CONSOLIDATED EDISON INC 5,261,277 303,786,000 0.09%
229 PERRIGO CO PLC 2,083,811 303,736,000 0.09%
230 NEW JERSEY RES CORP 5,309,045 303,465,000 0.09%
231 ILLINOIS TOOL WKS INC 3,450,354 302,113,000 0.09%
232 CBS CORP NEW 4,835,434 300,474,000 0.08%
233 PINNACLE WEST 5,183,093 299,790,000 0.08%
234 OGE ENERGY CORP 7,620,413 297,806,000 0.08%
235 ST JUDE 4,295,970 297,496,000 0.08%
236 MARSH & MCLENNAN COS INC 5,708,521 295,816,000 0.08%
237 Equinix Inc New 1,406,552 295,503,000 0.08%
238 BROADCOM CORP CL A 7,950,941 295,139,000 0.08%
239 AMERIPRISE FINL INC 2,450,508 294,061,000 0.08%
240 HUMANA 2,295,255 293,150,000 0.08%
241 HESS CORP 2,961,742 292,887,000 0.08%
242 STRYKER CORP 3,457,177 291,509,000 0.08%
243 CORNING INC 13,227,227 290,338,000 0.08%
244 INTERCONTINENTAL EXCHANGE IN 1,521,179 287,351,000 0.08%
245 TUPPERWARE BRANDS CORP 3,426,269 286,779,000 0.08%
246 IDACORP INC 4,931,711 285,201,000 0.08%
247 NISOURCE 7,243,517 284,960,000 0.08%
248 AIR PRODS & CHEMS INC 2,213,631 284,717,000 0.08%
249 ISHARES TR 2,598,101 284,232,000 0.08%
250 NEW YORK CMNTY BANCORP INC 17,734,006 283,389,000 0.08%
Page 5 of 78

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001086364-14-002504, filed 2014.08.06).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.