Dark
Light
System
Institutional Investment Manager
RHUMBLINE ADVISERS
RHUMBLINE ADVISERS (CIK: 0001115418) incorporated in Massachusetts, located at 265 Franklin St, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0001115418-14-000007) filed in 2014.05.06
#
Name
Shares
Value ($)
%
Options
Notes
2651 AFFILIATED MANAGERS GROUP 84,544 16,913 0.05%
2652 DOLLAR TREE INC 326,810 17,053 0.05%
2653 WATERS CORP 157,991 17,128 0.05%
2654 CLOROX CO DEL 195,242 17,183 0.05%
2655 STANLEY BLACK &DECKER INC 213,196 17,320 0.05%
2656 PRINCIPAL FIN GROUP 379,668 17,461 0.05%
2657 WESTERN UN CO 1,067,831 17,470 0.05%
2658 PALL CORP 195,416 17,484 0.05%
2659 KEYCORP 1,249,174 17,788 0.05%
2660 AUTODESK INC 362,566 17,831 0.05%
2661 CA INC 579,833 17,957 0.05%
2662 FLOWSERVE CORP 229,442 17,974 0.05%
2663 LINCOLN NATL CORP IND 355,206 17,998 0.05%
2664 JUNIPER NETWORKS 698,860 18,003 0.05%
2665 DTE ENERGY CO 243,036 18,055 0.05%
2666 BEAM INC 219,443 18,280 0.05%
2667 AMETEK INC NEW 356,832 18,373 0.05%
2668 FLUOR CORP NEW 237,158 18,434 0.05%
2669 COCA COLA ENTERPRISES INC NE COM 387,517 18,508 0.05%
2670 Alcoa 1,446,511 18,617 0.06%
2671 CHESAPEAKE ENERGY CORP 728,340 18,660 0.06%
2672 NETAPP INC 507,383 18,722 0.06%
2673 DAVITA INC 274,308 18,886 0.06%
2674 FIRSTENERGY CORP 557,180 18,961 0.06%
2675 MARRIOTT INTL INC NEW 339,137 18,998 0.06%
2676 ONEOK INC NEW 320,778 19,006 0.06%
2677 ALTERA CORPORATION 532,723 19,306 0.06%
2678 TE CONNECTIVITY LTD 320,967 19,325 0.06%
2679 CONAGRA BRANDS INC 626,283 19,434 0.06%
2680 ROPER TECHNOLOGIES INC 146,239 19,524 0.06%
2681 Linear Technology Corp 401,295 19,539 0.06%
2682 EASTMAN CHEM CO 226,863 19,558 0.06%
2683 ROCKWELL COLLINS INC 246,114 19,608 0.06%
2684 POLARIS INDS INC 141,479 19,766 0.06%
2685 TIFFANY & CO NEW 230,572 19,864 0.06%
2686 RALPH LAUREN CORP 123,570 19,886 0.06%
2687 BARD C R INC 134,548 19,910 0.06%
2688 CF INDS HLDGS INC 77,138 20,105 0.06%
2689 CONSTELLATION BRANDS INC 239,442 20,345 0.06%
2690 L BRANDS INC 359,536 20,411 0.06%
2691 MATTEL INC 512,727 20,565 0.06%
2692 ALLIANCE DATA SYSTEMS CORP 75,626 20,604 0.06%
2693 FMC TECHNOLOGIES INC 396,574 20,737 0.06%
2694 FIDELITY NATL INFORMATION SV 388,317 20,756 0.06%
2695 NUCOR CORP 410,978 20,771 0.06%
2696 KEURIG GREEN MTN INC 196,985 20,800 0.06%
2697 NORTHERN TRUST 317,892 20,841 0.06%
2698 COACH INC 420,009 20,858 0.06%
2699 REGIONS FINANCIAL CORP NEW 1,880,830 20,896 0.06%
2700 RANGE RES CORP 253,019 20,993 0.06%
Page 54 of 60