Dark
Light
System
Institutional Investment Manager
ProShare Advisors LLC
ProShare Advisors LLC (CIK: 0001357955) incorporated in Maryland, located at 7272 Wisconsin Avenue, Bethesda, MD. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001085146-15-000207) filed in 2015.01.30
#
Name
Shares
Value ($)
%
Options
Notes
251 GENERAL DYNAMICS CORP 52,493 7,224 0.08%
252 CITRIX SYS INC 112,841 7,199 0.08%
253 FASTENAL CO 149,542 7,112 0.08%
254 JAZZ PHARMACEUTICALS PLC 43,320 7,093 0.08%
255 MACERICH CO 83,459 6,961 0.08%
256 WILLIAMS COS INC DEL 154,446 6,941 0.08%
257 ALTERA CORPORATION 187,525 6,927 0.08%
258 SIRIUS XM HOLDINGS INC 1,973,196 6,906 0.08%
259 Equinix Inc New 30,349 6,881 0.08%
260 SL GREEN RLTY CORP 57,660 6,863 0.08%
261 TIME WARNER CABLE INC 45,009 6,844 0.08%
262 AKAMAI TECHNOLOGIES INC 107,646 6,777 0.08%
263 IONIS PHARMACEUTICAL 109,540 6,763 0.08%
264 REGIONS FINANCIAL CORP NEW 639,368 6,752 0.08%
265 M & T BK CORP 53,589 6,732 0.08%
266 PROGRESSIVE CORP OHIO 248,473 6,706 0.08%
267 SALESFORCE COM INC 113,021 6,703 0.08%
268 LINEAR TECHNOLOGY CORP 146,898 6,699 0.08%
269 CUBIST PHARMACEUTI 66,547 6,698 0.08%
270 FIFTH THIRD BANCORP 327,863 6,680 0.08%
271 PRINCIPAL FIN GROUP 127,575 6,626 0.08%
272 INVESCO LTD 166,837 6,593 0.08%
273 Former Charter Communication (Del 5/18/2016) 39,553 6,590 0.08%
274 PHARMACYCLICS INC 53,323 6,519 0.08%
275 HENRY SCHEIN INC 47,513 6,469 0.08%
276 NATIONAL OILWELL VARCO INC 98,608 6,462 0.08%
277 HARTFORD FINL SVCS GROUP INC 154,892 6,457 0.08%
278 SOUTHWEST AIRLS CO 151,930 6,430 0.07%
279 EDISON INTL 98,177 6,429 0.07%
280 SALIX PHARMACEUTICALS INC 55,583 6,389 0.07%
281 LOEWS CORP 151,165 6,352 0.07%
282 REALTY INCOME CORP 133,037 6,347 0.07%
283 MARATHON OIL CORP 224,195 6,342 0.07%
284 NXP SEMICONDUCTORS N V 81,721 6,243 0.07%
285 ALKERMES PLC 104,697 6,131 0.07%
286 MARATHON PETE CORP 67,647 6,106 0.07%
287 RAYTHEON CO 54,696 5,916 0.07%
288 DISH NETWORK A 80,977 5,902 0.07%
289 KEYCORP NEW 424,267 5,897 0.07%
290 VODAFONE GROUP PLC NEW 172,394 5,891 0.07%
291 L BRANDS INC 67,008 5,800 0.07%
292 STRYKER CORP 60,874 5,742 0.07%
293 XCEL ENERGY INC 159,651 5,735 0.07%
294 SBA COMMUNICATIONS CORP 51,517 5,706 0.07%
295 PG&E CORP 107,141 5,704 0.07%
296 CIGNA CORPORATION 55,281 5,689 0.07%
297 PLUM CREEK TIMBER 132,501 5,670 0.07%
298 ENTERGY CORP NEW 64,747 5,664 0.07%
299 SPECTRA ENERGY CORP 153,651 5,578 0.06%
300 Alcoa 353,078 5,575 0.06%
Page 6 of 40