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Institutional Investment Manager
ALLIANCEBERNSTEIN L.P.
ALLIANCEBERNSTEIN L.P. (CIK: 0001109448) incorporated in Delaware, registered under Investment Advice, located at 501 Commerce Street, Nashville, TN. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 3,412 holdings with a total value of $118,659,041,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 EDISON INTL 3,106,786 180,535,000 0.15%
152 COSTAR GROUP 1,121,281 177,353,000 0.15%
153 DANA INC 7,188,532 175,544,000 0.15%
154 IDEX CORP 2,168,731 175,103,000 0.15%
155 DTE ENERGY CO 2,247,696 175,028,000 0.15%
156 DOLLAR GEN CORP NEW 3,048,728 174,875,000 0.15%
157 UGI CORP NEW 3,457,093 174,583,000 0.15%
158 KIRBY CORP 1,480,126 173,382,000 0.15%
159 BALL CORP 2,744,604 172,032,000 0.14%
160 DISCOVER FINANCIAL 2,772,617 171,847,000 0.14%
161 ABBVIE INC 3,039,776 171,565,000 0.14%
162 Market Vectors Oil Services 2,957,684 170,836,000 0.14%
163 ALLSTATE CORP 2,890,658 169,739,000 0.14%
164 RALPH LAUREN CORP 1,041,228 167,315,000 0.14%
165 AMGEN INC 1,388,865 164,400,000 0.14%
166 AMERICAN FINL GROUP INC OHIO 2,743,429 163,399,000 0.14%
167 FIDELITY NATL INFORMATION SV 2,981,220 163,192,000 0.14%
168 AKORN INC 4,901,616 162,979,000 0.14%
169 CANADIAN PAC RY LTD 898,121 162,686,000 0.14%
170 KEURIG GREEN MTN INC 1,293,174 161,142,000 0.14%
171 HEXCEL CORP NEW COM 3,895,759 159,337,000 0.13%
172 MARATHON OIL CORP 3,975,250 158,692,000 0.13%
173 NETSUITE INC 1,822,201 158,313,000 0.13%
174 OCEANEERING INTL INC 1,996,000 155,947,000 0.13%
175 CARLISLE COS INC 1,797,234 155,676,000 0.13%
176 GENESEE AND WYOMING INC INC CL A 1,481,064 155,512,000 0.13%
177 SELECT SECTOR SPDR TR 2,548,136 155,003,000 0.13%
178 UNITED RENTALS 1,467,572 153,699,000 0.13%
179 TRW AUTOMOTIVE HLDGS CORP 1,712,742 153,325,000 0.13%
180 LINCOLN ELEC HLDGS INC 2,190,654 153,083,000 0.13%
181 ACE LTD 1,466,602 152,087,000 0.13%
182 ROYAL CARIBBEAN GROUP 2,727,550 151,652,000 0.13%
183 Anthem, Inc. 1,395,930 150,216,000 0.13%
184 SENSATA TECHNOLOGIES HLDNG PLC SHS 3,206,658 150,008,000 0.13%
185 FIVE BELOW INC COM 3,756,679 149,929,000 0.13%
186 MICRON TECHNOLOGY INC 4,476,805 147,511,000 0.12%
187 INTERSIL CORP CL A 9,849,592 147,251,000 0.12%
188 ACADIA HEALTHCARE COMPANY IN 3,229,632 146,948,000 0.12%
189 ASPEN TECHNOLOGY INC 3,134,511 145,441,000 0.12%
190 ISHARES TR 2,127,235 145,439,000 0.12%
191 ISHARES INC 2,799,651 144,742,000 0.12%
192 HASBRO INC 2,699,618 143,215,000 0.12%
193 BUFFALO WILD WINGS INC 860,584 142,607,000 0.12%
194 UNITED PARCEL SERVICE INC 1,387,285 142,419,000 0.12%
195 MIDDLEBY CORP 1,715,777 141,929,000 0.12%
196 WESTERN UN CO 8,155,966 141,424,000 0.12%
197 VALMONT INDS INC 929,395 141,222,000 0.12%
198 Ultimate Software Group Inc 1,014,927 140,232,000 0.12%
199 LKQ CORP 5,242,200 139,914,000 0.12%
200 NOBLE ENERGY INC 1,801,039 139,508,000 0.12%
Page 4 of 69

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001532155-14-000087, filed 2014.08.13).

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.