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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 (2016Q3)
Original 13F HR (0000950123-16-021061) filed in 2016.11.02
#
Name
Shares
Value ($)
%
Options
Notes
601 BAKER HUGHES INC 201,520 10,171 0.02%
602 NEUROCRINE BIOSCIENCES INC 200,000 10,128 0.02%
603 E TRADE FINANCIAL CORP 347,191 10,110 0.02%
604 XILINX INC 185,714 10,092 0.02%
605 CELANESE CORP DEL 151,473 10,082 0.02%
606 TYSON FOODS INC 134,630 10,053 0.02%
607 DEVON ENERGY CORP NEW 227,136 10,019 0.02%
608 FIRST DATA CORP NEW 754,408 9,928 0.02%
609 PROS HOLDINGS INC 9,976,000 9,876 0.02%
610 ALASKA COMMUNICATIONS SYS GRP 6.25 05/01/2018 9,984,000 9,859 0.02%
611 BRUKER CORP 434,883 9,850 0.02%
612 CBS CORP NEW 179,308 9,815 0.02%
613 ACADIA COMPANY COM 198,050 9,813 0.02%
614 MOODYS CORP 90,578 9,808 0.02%
615 INTL PAPER CO 203,733 9,775 0.02%
616 COLLIERS INTL GROUP INC 231,729 9,710 0.02%
617 SOUTHWEST AIRLS CO 249,527 9,704 0.02%
618 TRANSOCEAN LTD 907,343 9,672 0.02%
619 UNITED TECHNOLOGIES CORP 94,188 9,570 0.02%
620 MARATHON PETE CORP 235,554 9,561 0.02%
621 IGI LABORATORIES INC 9,982,000 9,533 0.02%
622 VANTIV INC 169,045 9,512 0.02%
623 VERINT SYS INC 1.5 06/01/2021 9,980,000 9,506 0.02%
624 LEUCADIA NATL CORP 498,448 9,490 0.02%
625 LINEAR TECHNOLOGY CORP 159,343 9,447 0.02%
626 WILLIAMS COS INC DEL 307,050 9,436 0.02%
627 HARMONY MERGER CORP 918,200 9,421 0.02%
628 TRACTOR SUPPLY CO 139,412 9,389 0.02%
629 DYNEGY INC NEW DEL 204,100 9,338 0.02%
630 NORTHERN TRUST 136,836 9,303 0.02%
631 SUNPOWER CORP SR CV DEB0.75 18 9,986,000 9,150 0.02%
632 DIAGEO P L C 78,672 9,129 0.02%
633 MAG SILVER CORP 604,346 9,091 0.02%
634 BOSTON PROPERTIES 66,684 9,088 0.02%
635 VARIAN MED SYS INC 90,781 9,035 0.02%
636 CUMMINS INC 69,772 8,941 0.02%
637 DOLLAR TREE INC 112,437 8,875 0.02%
638 IMPAX LABORATORIES INC 9,987,000 8,814 0.02%
639 CA INC 262,855 8,695 0.02%
640 NEW MTN FIN CORP 8,481,000 8,693 0.02%
641 MSCI INC 103,192 8,662 0.01%
642 UNILEVER PLC 181,395 8,598 0.01%
643 MYLAN N V 225,201 8,585 0.01%
644 MICRON TECHNOLOGY INC 481,951 8,569 0.01%
645 FORD MTR CO DEL 708,817 8,555 0.01%
646 NEW YORK CMNTY BANCORP INC 599,936 8,537 0.01%
647 SILVER STD RES INC 707,232 8,508 0.01%
648 ANGLOGOLD ASHANTI LIMITED 531,663 8,464 0.01%
649 AMERISOURCEBERGEN CORP 103,923 8,395 0.01%
650 KEYSIGHT TECHNOLOGIES INC 261,000 8,271 0.01%
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