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Institutional Investment Manager
APG Asset Management N.V.
APG Asset Management N.V. (CIK: 0001434819), located at Basisweg 10, Amsterdam, P7. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0001323255-14-000010) filed in 2014.04.30
#
Name
Shares
Value ($)
%
Options
Notes
401 MASTEC INC 330,000 14,335 0.04%
402 DISCOVERY COMMS NEW A 174,284 14,413 0.04%
403 SOUTHERN COPPER CORP COM 497,300 14,476 0.04%
404 Chesapeake Energy Corp 565,403 14,486 0.04%
405 HARTFORD FINL SVCS GROUP INC 411,268 14,505 0.04%
406 ALLIANCE DATA SYSTEMS CORP 53,705 14,632 0.04%
407 KNOWLES CORP 465,613 14,699 0.04%
408 National Australia Bank ADR 304,811 14,884 0.04%
409 PATTERSON UTI ENERGY INC 470,632 14,910 0.04%
410 EQT CORP 154,871 15,018 0.04%
411 LINCOLN NATL CORP IND 297,588 15,079 0.04%
412 SHAW COMMUNICATIONS INC 630,982 15,092 0.04%
413 Qorvo Inc 1,930,000 15,208 0.04%
414 FISERV INC COM 269,892 15,300 0.04%
415 Symantec Corp 766,326 15,304 0.04%
416 M & T BK CORP 126,438 15,337 0.04%
417 XILINX INC 284,032 15,414 0.04%
418 NXSTAGE MEDICAL INC COM 1,210,000 15,415 0.04%
419 DOLLAR GEN CORP NEW 277,927 15,419 0.04%
420 MOBILE TELES-ADR 888,900 15,547 0.04%
421 CABOT OIL & GAS CORP 458,976 15,550 0.04%
422 HCA HEALTHCARE INC 296,987 15,592 0.04%
423 Broadcom Ltd 243,372 15,676 0.04%
424 REGIONS FINL CORP NEW 1,412,974 15,698 0.04%
425 FIDELITY NATL INFORMATION SV 293,828 15,705 0.04%
426 INTL RECTIFIER COR 580,000 15,892 0.04%
427 OSI SYSTEMS INC 270,000 16,162 0.04%
428 Marriott International, Inc. C 289,408 16,213 0.04%
429 GRAINGER W W INC 64,224 16,227 0.04%
430 Coca-Cola Femsa S.A.B. de C.V. 154,050 16,256 0.04%
431 AMPHENOL CORP NEW 177,444 16,263 0.04%
432 Intuit Inc 88,859 16,434 0.04%
433 AGRIUM INC 168,917 16,487 0.04%
434 NOBLE CORP PLC 504,136 16,505 0.04%
435 AON PLC 196,221 16,538 0.04%
436 Coach Inc 334,570 16,615 0.04%
437 FASTENAL CO 337,471 16,644 0.04%
438 MOSAIC CO NEW 332,915 16,646 0.04%
439 CERNER CORP 296,538 16,680 0.04%
440 NISOURCE INC 472,694 16,795 0.04%
441 CONAGRA BRANDS INC 546,912 16,971 0.04%
442 VERTEX PHARMACEUTICALS INC 241,463 17,076 0.04%
443 FIRSTENERGY CORP 502,167 17,089 0.04%
444 NEWS CORP NEW 994,270 17,111 0.04%
445 Vishay Intertechnology 1,150,000 17,112 0.04%
446 PENTAIR LTD 219,430 17,410 0.05%
447 Fidelity Natl Finl Inc 563,903 17,729 0.05%
448 CareFusion 441,225 17,746 0.05%
449 INVESCO LTD 480,128 17,765 0.05%
450 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 224,312 17,855 0.05%
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