Dark
Light
System
Institutional Investment Manager
FIRST QUADRANT LLC/CA
FIRST QUADRANT LLC/CA (CIK: 0001014736) incorporated in Delaware, located at 330 N Brand Blvd, Suite 800, Glendale, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001014736-15-000001) filed in 2015.01.27
#
Name
Shares
Value ($)
%
Options
Notes
651 CINTAS CORP 160,700 12,605 0.27%
652 NORFOLK SOUTHERN CORP 119,800 13,131 0.28%
653 COMERICA INC 286,300 13,410 0.28%
654 SHERWIN WILLIAMS CO 51,000 13,415 0.28%
655 AMERICAN INTL GROUP INC 240,083 13,447 0.28%
656 KROGER CO 210,528 13,518 0.29%
657 WHIRLPOOL CORP 70,500 13,659 0.29%
658 LEAR CORP 139,400 13,672 0.29%
659 CUMMINS INC 95,219 13,728 0.29%
660 INTERNATIONAL BUSINESS MACHS 86,615 13,897 0.29%
661 DISNEY WALT CO 147,658 13,908 0.29%
662 TRAVELERS COMPANIES INC 131,761 13,947 0.29%
663 CITIGROUP INC 266,983 14,446 0.30%
664 HUMANA INC 105,327 15,128 0.32%
665 VISA INC 58,122 15,240 0.32%
666 Agnico Eagle 514,600 15,304 0.32%
667 THERMO FISHER SCIENTIFIC INC 122,712 15,375 0.32%
668 SKYWORKS SOLUTIONS INC 213,662 15,535 0.33%
669 PHILLIPS 66 216,671 15,535 0.33%
670 DOW CHEM CO 354,000 16,146 0.34%
671 WESTLAKE CHEM CORP 269,200 16,445 0.35%
672 EXPRESS SCRIPTS HLDG CO 197,060 16,685 0.35%
673 HARLEY DAVIDSON INC 255,400 16,833 0.35%
674 EXPEDIA INC DEL 197,758 16,881 0.36%
675 UNITED TECHNOLOGIES CORP 146,950 16,899 0.36%
676 GOLDMAN SACHS GROUP INC 87,360 16,933 0.36%
677 VERIZON COMMUNICATIONS INC 362,431 16,955 0.36%
678 Chubb Corporation 174,787 18,085 0.38%
679 BERKLEY W R CORP 354,086 18,150 0.38%
680 FOOT LOCKER INC 330,700 18,579 0.39%
681 UNIVERSAL HLTH SVCS INC 167,055 18,587 0.39%
682 DILLARDS INC 154,135 19,295 0.41%
683 KIMBERLY CLARK CORP 167,500 19,353 0.41%
684 CIGNA CORPORATION 188,139 19,361 0.41%
685 TYSON FOODS INC 493,365 19,779 0.42%
686 MORGAN STANLEY 511,935 19,863 0.42%
687 VOYA FINANCIAL INC 479,138 20,306 0.43%
688 SCRIPPS NETWORKS INTERACT IN 273,800 20,609 0.43%
689 FRANKLIN RESOURCES INC 374,067 20,712 0.44%
690 MARVELL TECHNOLOGY GROUP LTD 1,442,700 20,919 0.44%
691 HARRIS CORP 294,800 21,173 0.45%
692 EVEREST RE GROUP LTD 128,319 21,853 0.46%
693 MARATHON PETE CORP 243,036 21,936 0.46%
694 EOG RES INC 238,300 21,940 0.46%
695 TEXAS INSTRS INC 417,300 22,311 0.47%
696 DISH NETWORK A 307,920 22,444 0.47%
697 GENERAL ELECTRIC CO 915,004 23,122 0.49%
698 BROCADE COMMUNICATIONS SYS I 1,957,500 23,177 0.49%
699 HUNTINGTON INGALLS INDS INC 207,450 23,330 0.49%
700 HOME DEPOT INC 224,400 23,555 0.50%
Page 14 of 16