Dark
Light
System
Institutional Investment Manager
Boston Partners
Boston Partners (CIK: 0001386060) incorporated in Delaware, located at One Beacon Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001085146-16-004169) filed in 2016.08.05
#
Name
Shares
Value ($)
%
Options
Notes
301 Prudential Financial Inc Ordinary 609,299 43,467 0.06%
302 WELLS FARGO & CO 918,335 43,465 0.06%
303 ELECTRONIC ARTS INC 570,989 43,258 0.06%
304 White Mountain Insurance Gp 50,953 42,902 0.06%
305 OCCIDENTAL PETE CORP 567,273 42,863 0.06%
306 VERIZON COMMUNICATIONS 762,364 42,570 0.06%
307 DOW CHEMICAL COMPANY 846,034 42,056 0.06%
308 METLIFE ORD 1,053,303 41,953 0.06%
309 NetEase Inc 216,205 41,775 0.06%
310 SYNNEX CORP 438,277 41,557 0.06%
311 LABORATORY CORP AMER HLDGS 317,808 41,401 0.06%
312 CROWN HOLDINGS INC 816,764 41,385 0.06%
313 ALLY FINANCIAL INC 2,397,441 40,924 0.06%
314 DR PEPPER SNAPPLE GROUP ORD 421,013 40,682 0.06%
315 LEAR CORP COM NEW 396,423 40,340 0.06%
316 BANK AMER CORP 3,034,082 40,262 0.06%
317 MCKESSON CORP COM 215,245 40,175 0.06%
318 TWO HARBORS INVESTMENT CORP 4,644,468 39,757 0.06%
319 NAVIENT CORPORATION 3,302,529 39,465 0.06%
320 CHEMED CORP 287,878 39,241 0.06%
321 NEWELL BRANDS INC 805,647 39,130 0.06%
322 Wesco International Inc 751,827 38,712 0.06%
323 PHILLIPS 66 487,290 38,662 0.06%
324 PAREXEL INTERNATIONAL ORD 612,876 38,538 0.06%
325 RAYTHEON ORD 281,939 38,330 0.06%
326 CF INDS HLDGS INC 1,585,009 38,199 0.06%
327 Discover Financial Services 707,345 37,907 0.05%
328 GOLDMAN SACHS GROUP INC Ordinary 254,730 37,848 0.05%
329 STATE STR CORP 684,923 36,931 0.05%
330 Zimmer Biomet Holdings Inc 301,084 36,244 0.05%
331 MINERALS TECHNOLOGIES INC 628,998 35,727 0.05%
332 Pulte Group Inc 1,832,826 35,722 0.05%
333 MANPOWERGROUP INC 551,178 35,463 0.05%
334 EnerSys 596,134 35,452 0.05%
335 Essent Group Ltd. 1,619,951 35,331 0.05%
336 TEVA PHARMACEUTICAL ADR 698,733 35,097 0.05%
337 WALKER & DUNLOP INC 1,528,293 34,815 0.05%
338 ENERGEN CORP 720,248 34,723 0.05%
339 COHERENT INC 375,514 34,465 0.05%
340 CITIGROUP INC 811,303 34,391 0.05%
341 CRH ADR REPSG 1 ORD 1,142,723 33,802 0.05%
342 AVNET INC 831,502 33,684 0.05%
343 THOR INDUSTRIES INC 519,768 33,650 0.05%
344 LIVE NATION ENTERTAINMENT IN 1,429,550 33,594 0.05%
345 SYKES ENTERPRISES INC 1,158,751 33,557 0.05%
346 INGERSOLL-RAND PLC 523,163 33,315 0.05%
347 MFA FINL INC 4,575,345 33,263 0.05%
348 FOOT LOCKER INC 603,917 33,131 0.05%
349 AES CORP 2,645,461 33,015 0.05%
350 EOG RES INC 394,816 32,936 0.05%
Page 7 of 25