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 (2015Q2)
Original 13F HR (0001014736-15-000005) filed in 2015.07.08
#
Name
Shares
Value ($)
%
Options
Notes
651 MOSAIC CO NEW 252,300 11,820 0.25%
652 GAP 311,525 11,891 0.25%
653 KEYCORP NEW 793,500 11,918 0.25%
654 ROPER TECHNOLOGIES INC 69,800 12,038 0.25%
655 CARNIVAL CORP 243,800 12,041 0.25%
656 BROWN FORMAN CORP 120,650 12,087 0.25%
657 AMDOCS LTD 221,800 12,108 0.25%
658 VERISIGN 196,500 12,128 0.25%
659 XILINX INC 276,300 12,201 0.26%
660 TARGET CORP 151,009 12,327 0.26%
661 CELGENE CORP 110,200 12,754 0.27%
662 SEALED AIR CORP NEW 249,200 12,804 0.27%
663 Hewlett Packard Co 431,325 12,944 0.27%
664 UNITED THERAPEUTICS CORP DEL 74,600 12,977 0.27%
665 EXPEDIA INC DEL 119,558 13,074 0.27%
666 GENERAL DYNAMICS CORP 92,581 13,118 0.28%
667 DST SYS INC DEL 104,300 13,140 0.28%
668 CBS CORP NEW 239,286 13,280 0.28%
669 CVS HEALTH CORP 127,947 13,419 0.28%
670 WESTERN DIGITAL CORP 172,495 13,527 0.28%
671 INTERNATIONAL BUSINESS MACHS 83,602 13,599 0.29%
672 O REILLY AUTOMOTIVE INC NEW 60,200 13,604 0.29%
673 ABBVIE INC 204,400 13,734 0.29%
674 SEI INVESTMENTS CO 282,900 13,871 0.29%
675 REINSURANCE GROUP AMER INC 146,929 13,939 0.29%
676 DANAHER CORP DEL 165,700 14,182 0.30%
677 ORACLE CORP 358,643 14,453 0.30%
678 KROGER CO 201,372 14,601 0.31%
679 COMERICA INC 286,300 14,693 0.31%
680 ST JUDE MED INC 203,100 14,841 0.31%
681 UNION PAC CORP 160,686 15,325 0.32%
682 NIKE INC 142,800 15,425 0.32%
683 FACEBOOK INC 179,895 15,429 0.32%
684 FISERV INC 187,300 15,514 0.33%
685 DILLARDS INC 147,835 15,551 0.33%
686 THERMO FISHER SCIENTIFIC INC 122,712 15,923 0.33%
687 SIRONA DENTAL SYS INC 159,700 16,037 0.34%
688 FMC TECHNOLOGIES INC 391,300 16,235 0.34%
689 TJX COS INC NEW 247,600 16,384 0.34%
690 DISNEY WALT CO 144,558 16,500 0.35%
691 HUNTINGTON INGALLS INDS INC 146,850 16,534 0.35%
692 TESORO CORP 199,113 16,807 0.35%
693 SYMANTEC CORP 741,565 17,241 0.36%
694 COCA COLA EUROPEAN PARTNERS SHS 403,300 17,519 0.37%
695 VISA INC 262,886 17,653 0.37%
696 UNITED TECHNOLOGIES CORP 162,550 18,032 0.38%
697 KOHLS CORP 306,874 19,213 0.40%
698 WAL-MART STORES INC 279,042 19,792 0.42%
699 HUMANA INC 103,498 19,797 0.42%
700 LOWES COS INC 296,400 19,850 0.42%
Page 14 of 16