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Institutional Investment Manager
TD ASSET MANAGEMENT INC
TD ASSET MANAGEMENT INC (CIK: 0001056053), located at 55 King St West 7th FL P O Box 3td Cent, Toronto. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000950123-14-005267) filed in 2014.05.09
#
Name
Shares
Value ($)
%
Options
Notes
751 SANTANDER CONSUMER 156,100 3,759 0.01%
752 SEALED AIR CORP NEW 114,542 3,765 0.01%
753 AGL Resources Inc 76,953 3,768 0.01%
754 PLUM CREEK TIMBER 89,818 3,776 0.01%
755 POINTS INTL LTD 147,735 3,790 0.01%
756 NEWS CORP CL A 221,432 3,813 0.01%
757 GOODYEAR TIRE & RUBR CO 146,691 3,833 0.01%
758 SERVICENOW INC 64,500 3,865 0.01%
759 APARTMENT INVT & MGMT CO 128,057 3,870 0.01%
760 PRIMERO MNG CORP 541,600 3,930 0.01%
761 CHOICE HOTELS INTL NEW 85,500 3,933 0.01%
762 VODAFONE GROUP PLC NEW 107,434 3,955 0.01%
763 OPEN TEXT CORP 82,709 3,958 0.01%
764 WESTPORT FUEL SYSTEMS INC 274,266 3,986 0.01%
765 ISHARES TR 97,233 3,986 0.01%
766 ATHENA HEALTH INC. 24,900 3,990 0.01%
767 WATERS CORP 36,818 3,991 0.01%
768 EXPEDITORS INTL WASH INC 101,380 4,018 0.01%
769 REGAL ENTMT GROUP 215,920 4,033 0.01%
770 PATTERSON COS INC 97,341 4,065 0.01%
771 AES CORP 285,121 4,072 0.01%
772 COMERICA INC 78,700 4,077 0.01%
773 INTERCEPT PHARMACEUTICALS INCORPORATED 12,400 4,089 0.01%
774 BAXTER INTL INC 55,694 4,098 0.01%
775 BROOKFIELD RESIDENTIAL PROPE 195,200 4,105 0.01%
776 F5 NETWORKS INC 38,539 4,109 0.01%
777 DEERE & CO 45,534 4,134 0.01%
778 SELECT SECTOR SPDR TR 96,192 4,142 0.01%
779 MASCO CORP 186,602 4,144 0.01%
780 HCA HEALTHCARE INC 79,214 4,159 0.01%
781 BIOMARIN PHARMACEUTICAL INC 61,000 4,161 0.01%
782 MEADWESTVACO CORP 110,781 4,170 0.01%
783 CYS INVTS INC COM 505,000 4,171 0.01%
784 GALLAGHER ARTHUR J & CO 88,540 4,213 0.01%
785 CREDICORP LTD 30,632 4,225 0.01%
786 WYNDHAM WORLDWIDE CORP 57,869 4,238 0.01%
787 US BANCORP DEL 99,140 4,249 0.01%
788 CAE INC 322,998 4,258 0.01%
789 SILVER STD RES INC 428,483 4,259 0.01%
790 AXIS CAPITAL HOLDINGS LTD 92,879 4,259 0.01%
791 GAMESTOP CORP NEW 103,849 4,268 0.01%
792 COMCAST CORP NEW 85,460 4,275 0.01%
793 MSCI INC 99,800 4,293 0.01%
794 SINA CORP 71,300 4,307 0.01%
795 ATMEL CORP 515,400 4,309 0.01%
796 SM ENERGY CO 60,500 4,313 0.01%
797 ARCHER DANIELS MIDLAND CO 99,451 4,315 0.01%
798 EDWARDS LIFESCIENCES CORP 58,972 4,374 0.01%
799 JACOBS ENGR GROUP INC 68,875 4,374 0.01%
800 VARIAN MED SYS INC 52,151 4,380 0.01%
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