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Institutional Investment Manager
FORT WASHINGTON INVESTMENT ADVISORS INC /OH/
FORT WASHINGTON INVESTMENT ADVISORS INC /OH/ (CIK: 0001009016) incorporated in Ohio, located at 303 Broadway, Cincinnati, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 432 holdings with a total value of $5,589,257,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 TRANSDIGM GROUP INC 6,858 1,983,000 0.04%
202 DELPHI AUTOMOTIVE PLC 27,542 1,964,000 0.04%
203 CITIZENS FINL GROUP INC 78,848 1,948,000 0.03%
204 OWENS & MINOR INC NEW 55,969 1,944,000 0.03%
205 TE CONNECTIVITY LTD 29,912 1,926,000 0.03%
206 FIRSTENERGY CORP 57,792 1,912,000 0.03%
207 MARATHON PETE CORP 46,762 1,898,000 0.03%
208 NORFOLK SOUTHERN CORP 19,399 1,883,000 0.03%
209 AMERIPRISE FINL INC 18,749 1,871,000 0.03%
210 REGENERON PHARMACEUTICALS 4,598 1,848,000 0.03%
211 DOVER CORP 24,994 1,841,000 0.03%
212 AMERICAN INTL GROUP INC 30,822 1,829,000 0.03%
213 DISCOVER FINL SVCS 32,032 1,811,000 0.03%
214 STRYKER CORP 15,145 1,763,000 0.03%
215 FOOT LOCKER INC 25,696 1,740,000 0.03%
216 AQUA AMERICA INC 56,688 1,728,000 0.03%
217 CHENIERE ENERGY PTNRS LP HLD 76,000 1,728,000 0.03%
218 SEMPRA ENERGY 16,090 1,725,000 0.03%
219 M & T BK CORP 14,787 1,717,000 0.03%
220 DARDEN RESTAURANTS INC 27,967 1,715,000 0.03%
221 OMEGA HEALTHCARE INVS INC 48,362 1,714,000 0.03%
222 SCANA 23,670 1,713,000 0.03%
223 KROGER CO 57,583 1,709,000 0.03%
224 ISHARES TR 5,696 1,649,000 0.03%
225 MCKESSON CORP 9,606 1,602,000 0.03%
226 HARLEY DAVIDSON INC 29,465 1,550,000 0.03%
227 UNITED RENTALS INC 19,476 1,529,000 0.03%
228 AMEREN CORP 30,969 1,523,000 0.03%
229 EATON CORP PLC 22,724 1,494,000 0.03%
230 LINCOLN NATL CORP IND 31,499 1,480,000 0.03%
231 GENERAL MTRS CO 45,501 1,446,000 0.03%
232 FORD MTR CO DEL 119,704 1,445,000 0.03%
233 MARRIOTT INTL INC NEW 21,229 1,429,000 0.03%
234 LIFE STORAGE INC 15,500 1,379,000 0.02%
235 WYNN RESORTS LTD 13,985 1,362,000 0.02%
236 PAYPAL HLDGS INC 32,575 1,335,000 0.02%
237 RPM INTL INC 24,572 1,320,000 0.02%
238 DELTA AIRLINES INC DEL 33,348 1,313,000 0.02%
239 C H ROBINSON WORLDWIDE INC 18,524 1,305,000 0.02%
240 EMERSON ELEC CO 23,893 1,302,000 0.02%
241 COLGATE PALMOLIVE CO 17,353 1,287,000 0.02%
242 HASBRO INC 16,105 1,278,000 0.02%
243 SUNTRUST BKS INC 28,620 1,253,000 0.02%
244 STATE STR CORP 17,962 1,251,000 0.02%
245 SOUTHWEST AIRLS CO 32,027 1,245,000 0.02%
246 PNC FINL SVCS GROUP INC 13,670 1,231,000 0.02%
247 JOHNSON CTLS INTL PLC 26,019 1,211,000 0.02%
248 ALEXION PHARMACEUTIC 9,805 1,202,000 0.02%
249 DTE ENERGY CO 12,715 1,191,000 0.02%
250 MOSAIC CO NEW 47,659 1,166,000 0.02%
Page 5 of 9

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-022341, filed 2016.11.14).

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.