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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
901 EASTMAN CHEM CO 71,911 6,199 0.01%
902 AMBEV SA 839,313 6,219 0.01%
903 SYNOPSYS INC 161,979 6,222 0.01%
904 VANGUARD TAX-MANAGED FDS 150,942 6,229 0.01%
905 AMPHENOL CORP NEW 68,091 6,241 0.01%
906 Nielsen Holdings B.V. 140,616 6,276 0.01%
907 NISOURCE 176,979 6,288 0.01%
908 ACUITY BRANDS INC 47,500 6,297 0.01%
909 BARD C R INC 42,692 6,318 0.01%
910 MANPOWERGROUP INC 80,251 6,326 0.01%
911 CINTAS CORP 106,384 6,342 0.01%
912 WHITEWAVE FOODS CO 224,400 6,404 0.01%
913 DISNEY WALT CO 79,989 6,405 0.01%
914 MOODYS CORP 80,987 6,424 0.01%
915 DOVER CORP 78,717 6,435 0.01%
916 PUMA BIOTECHNOLOGY 62,000 6,457 0.01%
917 JUNIPER NETWORKS INC 250,834 6,461 0.01%
918 AMERICA MOVIL SAB DE CV 325,971 6,480 0.01%
919 RANDGOLD RES LTD 86,500 6,488 0.01%
920 CISCO SYS INC 290,611 6,513 0.01%
921 LEGG MASON INC 135,875 6,663 0.01%
922 Alcoa 519,698 6,689 0.01%
923 DFC GLOBAL CORP 7,995,000 6,701 0.01%
924 Equinix Inc New 36,640 6,773 0.01%
925 CONCUR TECHNOLOGIE 69,100 6,846 0.01%
926 KBR INC 256,835 6,852 0.01%
927 COTT CORP QUE 806,679 6,855 0.01%
928 Family Dollar Stores Inc 118,243 6,859 0.01%
929 QUEST DIAGNOSTICS INC 118,784 6,880 0.01%
930 BRUKER CORP 304,600 6,942 0.01%
931 ON SEMICONDUCTOR CORP 738,500 6,942 0.01%
932 KEYCORP NEW 488,821 6,961 0.01%
933 EMERSON ELEC CO 104,359 6,971 0.01%
934 SOUTHWESTERN ENERGY CO 151,878 6,988 0.01%
935 WESTERN UN CO 427,661 6,997 0.01%
936 FEI COMPANY 68,000 7,005 0.01%
937 TRANSALTA CORP 606,311 7,053 0.01%
938 Sigma-Aldrich 75,569 7,057 0.01%
939 GILDAN ACTIVEWEAR INC 139,925 7,062 0.01%
940 BAYTEX ENERGY CORP 172,039 7,095 0.01%
941 NUCOR CORP 140,573 7,105 0.01%
942 INTERMUNE INC 212,400 7,109 0.01%
943 CHART ACQUISITION CORP 725,000 7,127 0.01%
944 Kinder Morgan Inc. 96,640 7,147 0.01%
945 MEAD JOHNSON NUTRITION CO 86,942 7,228 0.01%
946 SOUTHWEST AIRLS CO 306,800 7,244 0.01%
947 Pentair plc 91,428 7,254 0.01%
948 MONDELEZ INTL INC 210,145 7,261 0.01%
949 SUNOPTA INC 618,170 7,303 0.01%
950 Rackspace Hosting 223,900 7,348 0.01%
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