Dark
Light
System
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 (2015Q3)
Original 13F HR (0001086364-15-002210) filed in 2015.11.13
#
Name
Shares
Value ($)
%
Options
Notes
451 DISCOVER FINL SVCS 4,964,025 258,080 0.07%
452 MEDNAX INC 3,357,997 257,861 0.07%
453 UNITED BANKSHARES INC COM 6,772,717 257,296 0.07%
454 OGE ENERGY CORP 9,344,357 255,662 0.07%
455 TYLER TECHNOLOGIES INC 1,711,663 255,568 0.07%
456 DAVITA INC 3,528,828 255,240 0.07%
457 HERSHEY CO 2,776,528 255,107 0.07%
458 ALLSTATE CORP 4,373,474 254,711 0.07%
459 PULTE GROUP INC 13,494,156 254,635 0.07%
460 UNDER ARMOUR INC 2,626,547 254,197 0.07%
461 GARTNER INC 3,021,478 253,593 0.07%
462 TOWERS WATSON & CO 2,154,944 252,947 0.07%
463 LABORATORY CORP AMER HLDGS 2,319,599 251,607 0.07%
464 ISHARES TR 5,245,033 250,555 0.06%
465 DEERE & CO 3,383,616 250,388 0.06%
466 ACUITY BRANDS INC 1,425,857 250,352 0.06%
467 DUKE REALTY CORP 13,133,784 250,199 0.06%
468 ONEOK INC NEW 7,766,616 250,085 0.06%
469 NIELSEN HLDGS PLC 5,602,264 249,133 0.06%
470 RESMED INC 4,886,480 249,015 0.06%
471 DR PEPPER SNAPPLE GROUP INC 3,133,342 247,691 0.06%
472 POLARIS INDS INC 2,065,003 247,532 0.06%
473 JONES LANG LASALLE INC 1,719,030 247,145 0.06%
474 GLOBAL PMTS INC 2,137,852 245,276 0.06%
475 HELMERICH & PAYNE INC 5,187,342 245,154 0.06%
476 MOTOROLA SOLUTIONS INC 3,576,692 244,574 0.06%
477 ALLIANCE DATA SYSTEMS CORP 943,292 244,294 0.06%
478 SIGNATURE BANK 1,769,507 243,413 0.06%
479 SEAGATE TECHNOLOGY PLC 5,431,028 243,310 0.06%
480 CMS ENERGY CORP 6,848,185 241,878 0.06%
481 COMCAST CORP NEW 4,219,486 241,523 0.06%
482 AMERICANCAPITALA 12,914,816 241,507 0.06%
483 NORTHERN TRUST 3,541,752 241,406 0.06%
484 FIFTH THIRD BANCORP 12,716,820 240,475 0.06%
485 BANK HAWAII CORP 3,776,261 239,755 0.06%
486 CENTENE CORP DEL 4,420,659 239,732 0.06%
487 COOPER COS INC 1,607,623 239,311 0.06%
488 IDEXX LABS INC 3,220,563 239,127 0.06%
489 OMNICOM GROUP INC 3,624,979 238,886 0.06%
490 TUPPERWARE BRANDS CORP 4,819,436 238,514 0.06%
491 ALTERA CORPORATION 4,761,001 238,431 0.06%
492 MID AMER APT CMNTYS INC 2,901,073 237,511 0.06%
493 AMSURG CORP 3,054,727 237,383 0.06%
494 CORNING INC 13,720,139 234,889 0.06%
495 FACTSET RESH SYS INC 1,467,838 234,575 0.06%
496 AMPHENOL CORP NEW 4,592,079 234,012 0.06%
497 RED HAT INC 3,245,655 233,298 0.06%
498 MANHATTAN ASSOCS INC 3,737,179 232,826 0.06%
499 CARNIVAL CORP 4,669,198 232,059 0.06%
500 HCC INSURANCE HOLDINGS INC 2,990,669 231,687 0.06%
Page 10 of 79