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 (2016Q4)
Original 13F HR (0001086364-17-000006) filed in 2017.02.10
#
Name
Shares
Value ($)
%
Options
Notes
601 VCA INCORPORATED 3,090,018 212,130 0.04%
602 HORMEL FOODS CORP 6,090,288 212,003 0.04%
603 MAXIMUS INC 3,790,513 211,473 0.04%
604 MEDIDATA SOLUTIONS INC 4,257,221 211,456 0.04%
605 CIENA CORP 8,651,154 211,175 0.04%
606 EASTMAN CHEM CO 2,800,429 210,620 0.04%
607 ADVANCE AUTO PARTS INC 1,244,674 210,499 0.04%
608 ULTIMATE SOFTWARE GROUP INCORPORATED 1,154,123 210,454 0.04%
609 SENSIENT TECHNOLOGIES CORP 2,674,892 210,193 0.04%
610 DOVER CORP 2,803,909 210,097 0.04%
611 UMB FINL CORP 2,722,000 209,921 0.04%
612 JONES LANG LASALLE 2,075,362 209,695 0.04%
613 INTEGRA LIFESCIENCES HLDGS CP COM NEW 2,427,637 208,267 0.04%
614 CTRIP COM INTL LTD 5,188,322 207,533 0.04%
615 SERVICE CORP INTL 7,307,502 207,533 0.04%
616 COGNEX CORP 3,249,967 206,763 0.04%
617 JUNIPER NETWORKS 7,314,480 206,707 0.04%
618 ALKERMES PLC 3,718,835 206,693 0.04%
619 PEOPLES UNITED FINANCIAL INC 10,671,778 206,606 0.04%
620 SYNOVUS FINL CORP 5,027,507 206,530 0.04%
621 WPX ENERGY INC 14,165,686 206,394 0.04%
622 NUVASIVE INC 3,061,947 206,253 0.04%
623 COLUMBIA BKG SYS INC COM 4,612,322 206,079 0.04%
624 VIASAT INC 3,108,410 205,839 0.04%
625 DELUXE CORP COM 2,872,026 205,666 0.04%
626 CHEMED CORP NEW COM 1,279,865 205,303 0.04%
627 WAGEWORKS INC COM 2,821,184 204,536 0.04%
628 COMMERCE BANCSHARES INC 3,536,537 204,447 0.04%
629 LAMB WESTON HLDGS INC COM 5,399,483 204,370 0.04%
630 NU SKIN ENTERPRISES INC 4,270,275 204,034 0.04%
631 BALCHEM CORP 2,428,436 203,794 0.04%
632 EDUCATION RLTY TR INC 4,813,908 203,628 0.04%
633 GREAT WESTERN BANCORP INC COM 4,668,072 203,481 0.04%
634 EPR PPTYS 2,834,595 203,439 0.04%
635 STIFEL FINANCIAL CP 4,072,307 203,412 0.04%
636 DAVITA INC 3,167,683 203,365 0.04%
637 YUM CHINA HLDGS INC 7,783,261 203,299 0.04%
638 MASCO CORP 6,426,707 203,212 0.04%
639 ONE GAS INC COM 3,171,982 202,880 0.04%
640 HOSPITALITY PPTYS TR 6,381,979 202,564 0.04%
641 BIO TECHNE CORP 1,966,951 202,262 0.04%
642 BROCADE COMMUNICATIONS SYS I 16,144,890 201,650 0.04%
643 WESTERN UN CO 9,277,075 201,498 0.04%
644 FRANKLIN RESOURCES INC 5,083,744 201,215 0.04%
645 Drew Inds Inc 1,867,178 201,188 0.04%
646 BROWN & BROWN INC 4,483,394 201,125 0.04%
647 FULTON FINL CORP PA 10,696,481 201,094 0.04%
648 ENERSYS 2,569,254 200,659 0.04%
649 CULLEN FROST BANKERS INC 2,271,399 200,406 0.04%
650 MACYS INC 5,593,000 200,285 0.04%
Page 13 of 86