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 (2016Q2)
Original 13F HR (0001014736-16-000011) filed in 2016.07.19
#
Name
Shares
Value ($)
%
Options
Notes
751 AETNA INC NEW 168,353 20,561 0.45%
752 VALERO ENERGY CORP NEW 404,366 20,623 0.45%
753 FMC TECHNOLOGIES INC 782,200 20,861 0.46%
754 TEXAS INSTRS INC 336,107 21,057 0.46%
755 TORCHMARK CORP COM 346,725 21,435 0.47%
756 MICHAEL KORS HLDGS LTD 433,500 21,450 0.47%
757 PARKER HANNIFIN CORP 200,100 21,621 0.48%
758 NASDAQ INC 336,936 21,790 0.48%
759 VMWARE INC 381,600 21,835 0.48%
760 SNAP ON INC 138,900 21,921 0.48%
761 VISA INC 295,782 21,938 0.48%
762 PROGRESSIVE CORP OHIO 659,557 22,095 0.49%
763 HYATT HOTELS CORP COM CL A 452,392 22,231 0.49%
764 NORFOLK SOUTHERN CORP 269,500 22,943 0.51%
765 AT&T INC 533,087 23,035 0.51%
766 CARTER INC 218,400 23,253 0.51%
767 HUNTINGTON INGALLS INDS INC 138,820 23,326 0.51%
768 LEAR CORP 230,161 23,421 0.52%
769 ALASKA AIR GROUP INC 402,809 23,480 0.52%
770 HERBALIFE LTD 402,540 23,561 0.52%
771 PACKAGING CORP AMER 353,200 23,640 0.52%
772 RESMED INC 391,100 24,729 0.55%
773 US BANCORP DEL 616,900 24,880 0.55%
774 CBS CORP NEW 458,186 24,944 0.55%
775 HCA HEALTHCARE INC 324,169 24,964 0.55%
776 ALTRIA GROUP INC 370,898 25,577 0.56%
777 CHEVRON CORP NEW 245,387 25,724 0.57%
778 CHURCH & DWIGHT 250,400 25,764 0.57%
779 RELIANCE STEEL & ALUMINUM CO 345,394 26,561 0.59%
780 LUMEN TECHNOLOGIES INC 917,700 26,622 0.59%
781 CLOROX CO DEL 195,200 27,014 0.60%
782 WORLD FUEL SVCS CORP 572,700 27,198 0.60%
783 FACEBOOK INC 238,212 27,223 0.60%
784 INTUIT 245,200 27,367 0.60%
785 PNC FINL SVCS GROUP INC 338,226 27,528 0.61%
786 LANDSTAR SYS INC COM 413,800 28,412 0.63%
787 CARLISLE COS INC 273,974 28,954 0.64%
788 SYSCO CORP 591,200 29,997 0.66%
789 ALLSTATE CORP 433,124 30,297 0.67%
790 AMAZON COM INC 43,453 31,096 0.69%
791 ALPHABET INC 44,410 31,244 0.69%
792 TYSON FOODS INC 470,365 31,416 0.69%
793 DISNEY WALT CO 334,193 32,691 0.72%
794 SOUTHWEST AIRLS CO 838,500 32,878 0.73%
795 SIMON PPTY GROUP INC NEW 154,552 33,522 0.74%
796 UNIVERSAL HLTH SVCS INC 250,750 33,626 0.74%
797 CITRIX SYS INC 429,167 34,372 0.76%
798 COSTCO WHSL CORP NEW 220,400 34,612 0.76%
799 ALPHABET INC 51,582 35,700 0.79%
800 MCKESSON CORP 191,628 35,767 0.79%
Page 16 of 17