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Institutional Investment Manager
Nationwide Fund Advisors
Nationwide Fund Advisors (CIK: 0001097218) incorporated in Delaware, located at One Nationwide Plaza, Columbus, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Portfolio Summary: 3,196 holdings with a total value of $24,870,652,000.
#
Name
Shares
Value ($)
%
Options
Notes
3051 CITRIX SYS INC 415,126 34,617,000 0.14%
3052 MONSANTO CO NEW 307,189 34,774,000 0.14%
3053 VANTIV INC 542,425 34,780,000 0.14%
3054 IDEX CORP 372,649 34,846,000 0.14%
3055 BROADRIDGE FINL SOLUTIONS IN 513,871 34,918,000 0.14%
3056 SMUCKER J M CO 266,785 34,970,000 0.14%
3057 PG&E CORP 532,330 35,325,000 0.14%
3058 INCYTE CORP 264,959 35,417,000 0.14%
3059 HUNT J B TRANS SVCS INC 389,641 35,746,000 0.14%
3060 BB&T CORP 801,225 35,815,000 0.14%
3061 F5 NETWORKS INC 251,806 35,900,000 0.14%
3062 CONOCOPHILLIPS 723,704 36,091,000 0.15%
3063 AMERICAN INTL GROUP INC 579,926 36,205,000 0.15%
3064 ABBVIE INC 557,919 36,354,000 0.15%
3065 BARD C R INC 146,497 36,410,000 0.15%
3066 ALLSTATE CORP 448,615 36,558,000 0.15%
3067 GARTNER INC 339,094 36,619,000 0.15%
3068 MEDIDATA SOLUTIONS INC 635,314 36,651,000 0.15%
3069 EDWARDS LIFESCIENCES CORP 392,837 36,954,000 0.15%
3070 KEYCORP 2,088,982 37,142,000 0.15%
3071 SIGNATURE BANK 251,230 37,280,000 0.15%
3072 MIDDLEBY CORP 274,263 37,423,000 0.15%
3073 STERIS PLC SHS USD 540,723 37,559,000 0.15%
3074 LAM RESEARCH CORP 292,670 37,567,000 0.15%
3075 COSTAR GROUP 181,593 37,630,000 0.15%
3076 MCDONALDS CORP 290,867 37,699,000 0.15%
3077 FIRSTENERGY CORP 1,189,367 37,846,000 0.15%
3078 IDEXX LAB 245,796 38,003,000 0.15%
3079 LAS VEGAS SANDS CORP 668,917 38,175,000 0.15%
3080 PPL CORP 1,024,397 38,302,000 0.15%
3081 COPART INC 627,712 38,874,000 0.16%
3082 MOTOROLA SOLUTIONS INC 451,631 38,940,000 0.16%
3083 ZOETIS INC 730,507 38,987,000 0.16%
3084 EATON CORP PLC 532,139 39,458,000 0.16%
3085 ALLERGAN PLC 167,584 40,039,000 0.16%
3086 KIMBERLY CLARK CORP 306,058 40,286,000 0.16%
3087 HCA HOLDINGS INC 453,431 40,351,000 0.16%
3088 PRUDENTIAL FINL INC 381,910 40,742,000 0.16%
3089 MORGAN STANLEY 954,692 40,899,000 0.16%
3090 DOW CHEM CO 646,988 41,110,000 0.17%
3091 ALIGN TECHNOLOGY INC 359,185 41,202,000 0.17%
3092 SYSCO CORP 806,707 41,884,000 0.17%
3093 WESTERN DIGITAL CORP 508,771 41,989,000 0.17%
3094 3M CO 220,124 42,116,000 0.17%
3095 NIKE INC 761,075 42,415,000 0.17%
3096 STARBUCKS CORP 737,154 43,042,000 0.17%
3097 AMPHENOL CORP NEW 606,133 43,138,000 0.17%
3098 HUMANA INC 210,027 43,295,000 0.17%
3099 ANSYS 408,597 43,667,000 0.18%
3100 DISCOVER FINL SVCS 642,931 43,970,000 0.18%
Page 62 of 64

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-003544, filed 2017.04.21).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.