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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 (2014Q4)
Original 13F HR (0001323255-15-000004) filed in 2015.02.09
#
Name
Shares
Value ($)
%
Options
Notes
351 EDISON INTL 441,707 28,923 0.06%
352 BB&T CORP 737,596 28,685 0.05%
353 VENTAS INC 398,937 28,604 0.05%
354 MURPHY OIL CORP 563,472 28,467 0.05%
355 GRAINGER W W INC 110,885 28,263 0.05%
356 FMC TECHNOLOGIES INC 602,729 28,232 0.05%
357 NORTHERN TRUST 409,721 27,615 0.05%
358 CITRIX SYS INC 430,893 27,491 0.05%
359 CERNER CORP 421,975 27,285 0.05%
360 RED HAT INC 394,457 27,273 0.05%
361 ANALOG DEVICES INC 486,267 26,998 0.05%
362 AON PLC 284,015 26,933 0.05%
363 UNDER ARMOUR INC 390,852 26,539 0.05%
364 ZIMMER BIOMET HLDGS INC 233,246 26,455 0.05%
365 Sigma-Aldrich 191,802 26,329 0.05%
366 SYMANTEC CORP 1,025,080 26,298 0.05%
367 INTUITIVE SURGICAL INC 49,685 26,280 0.05%
368 KANSAS CITY SOUTHERN 214,768 26,208 0.05%
369 NORTHEASTUTILITI 488,658 26,153 0.05%
370 REGIONS FINANCIAL CORP NEW 2,466,755 26,049 0.05%
371 BORGWARNER INC 471,807 25,926 0.05%
372 BOSTON SCIENTIFIC CORP 1,947,173 25,800 0.05%
373 FISERV INC 363,336 25,786 0.05%
374 AVAGO TECHNOLOGIES LTD SHS 256,237 25,775 0.05%
375 Adt Corp 710,237 25,732 0.05%
376 SHAW COMMUNICATIONS INC 820,005 25,707 0.05%
377 EQT CORP 338,920 25,656 0.05%
378 AMPHENOL CORP NEW 475,381 25,580 0.05%
379 FASTENAL CO 536,055 25,495 0.05%
380 ROPER TECHNOLOGIES INC 162,530 25,412 0.05%
381 TYSON FOODS INC 632,608 25,361 0.05%
382 ROCKWELL AUTOMATION INC 227,025 25,245 0.05%
383 NUCOR CORP 514,048 25,214 0.05%
384 CARMAX INC 373,394 24,861 0.05%
385 ST JUDE MED INC 378,524 24,615 0.05%
386 CONSTELLATION BRANDS INC 250,723 24,613 0.05%
387 GENERAL GROWTH 868,441 24,429 0.05%
388 MEADWESTVACO CORP 546,147 24,243 0.05%
389 SOUTHWESTERN ENERGY CO 883,270 24,104 0.05%
390 AUTODESK INC 399,372 23,986 0.05%
391 CRESCENT PT ENERGY CORP 887,861 23,892 0.05%
392 LAUDER ESTEE COS INC 312,276 23,795 0.05%
393 MATTEL INC 768,683 23,787 0.05%
394 ENSCO PLC 793,385 23,762 0.05%
395 M & T BK CORP 188,523 23,682 0.05%
396 LAM RESEARCH CORP 298,313 23,668 0.05%
397 Mylan Laboratories Inc 413,587 23,314 0.04%
398 YY INC 373,000 23,301 0.04%
399 Monster Beverage Corpo 213,955 23,182 0.04%
400 C H ROBINSON WORLDWIDE INC 308,479 23,102 0.04%
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