Dark
Light
System
Institutional Investment Manager
Nuveen Asset Management, LLC
Nuveen Asset Management, LLC (CIK: 0001521019) incorporated in Delaware, located at 333 W. Wacker Drive, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0000950123-15-001987) filed in 2015.02.13
#
Name
Shares
Value ($)
%
Options
Notes
301 CHILDRENS PL INC 26,544 1,513 0.01%
302 CHIPOTLE MEXICAN GRILL INC 49,538 33,909 0.19%
303 CHOICE HOTELS INTL NEW 11,266 631 0.00%
304 CHURCH & DWIGHT 53,626 4,226 0.02%
305 CHUYS HLDGS INC COM 42,238 831 0.00%
306 CIENA CORP 50,568 982 0.01%
307 CIGNA CORPORATION 133,076 13,695 0.08%
308 CIMAREX ENERGY 18,224 1,932 0.01%
309 CINCINNATI FINL CORP 10,349 536 0.00%
310 CINEMARK HOLDINGS INC 545,520 19,410 0.11%
311 CINTAS CORP 17,917 1,405 0.01%
312 CISCO SYS INC 73,000 2,030 0.01% Call
313 CISCO SYS INC 1,633,981 45,449 0.25%
314 CIT GROUP INC 10,606 507 0.00%
315 CITIGROUPINC 1,037,484 56,138 0.31%
316 CITRIX SYS INC 71,840 4,583 0.03%
317 CITY NATL CORP 19,315 1,561 0.01%
318 CIVITAS SOLUTIONS INC 83,770 1,427 0.01%
319 CLEAN HARBORS INC 22,445 1,078 0.01%
320 CLIFFS NAT RES INC 70,231 501 0.00%
321 CLOROX CO DEL 17,716 1,846 0.01%
322 CLOVIS ONCOLOGY INC 12,069 676 0.00%
323 CME GROUP INC 45,953 4,074 0.02%
324 CMS ENERGY CORP 55,000 1,911 0.01% Call
325 CMS ENERGY CORP 1,600,326 55,611 0.31%
326 CMS Energy Corp 28,063 1,531 0.01%
327 CNA FINL CORP 8,929 346 0.00%
328 CNO FINL GROUP INC 312,374 5,379 0.03%
329 COACH INC 31,737 1,192 0.01%
330 COCA COLA CO 774,731 32,709 0.18%
331 COCA COLA CO 73,000 3,082 0.02% Call
332 COGNEX CORP 40,494 1,674 0.01%
333 COGNIZANT TECHNOLOGY SOLUTIO 60,209 3,171 0.02%
334 COLGATE PALMOLIVE CO 69,494 4,808 0.03%
335 COLONY CAPITAL CL A ORD 1,057,589 25,192 0.14%
336 COMCAST CORP NEW 723,407 41,965 0.23%
337 COMERICA INC 282,142 13,216 0.07%
338 COMMERCE BANCSHARES INC 34,450 1,498 0.01%
339 COMMERCIAL METALS CO COM 193,700 3,155 0.02%
340 COMMUNITY BK SYS INC COM 263,193 10,036 0.06%
341 COMMUNITY HEALTH SYS INC NEW 100,634 3 0.00%
342 COMMUNITY HEALTH SYS INC NEW 47,150 2,542 0.01%
343 COMPANHIA SIDERURGICA NACION 54,923 114 0.00%
344 COMPASS MINERALS INTL INC 15,772 1,369 0.01%
345 COMPUTER SCIENCES CORP 219,030 13,810 0.08%
346 CONAGRA BRANDS INC 47,759 1,733 0.01%
347 CONCHO RESOURCES 189,021 18,855 0.10%
348 CONE Midstream Partners 23,098 557 0.00%
349 CONNECTICUT WTR SVC INC COM 233,523 8,475 0.05%
350 CONOCOPHILLIPS 354,206 24,461 0.14%
Page 7 of 33
Restatement filing (0000950123-15-003658) filed in 2015.02.26
#
Name
Shares
Value ($)
%
Options
Notes
1 SIMON PPTY GROUP INC NEW 2,663,070 484,972 2.72%
2 PUBLIC STORAGE 1,736,826 321,052 1.80%
3 APPLE INC 2,458,590 271,379 1.52%
4 AVALONBAY COMM 1,582,008 258,484 1.45%
5 AMERICAN AIRLS GROUP INC 4,195,564 225,008 1.26%
6 PROLOGIS INC 4,954,924 213,210 1.20%
7 MICROSOFT CORP 4,190,521 194,650 1.09%
8 Welltower Inc. 2,334,176 176,627 0.99%
9 VORNADO REALTY 1,580,277 168,476 0.95%
10 VENTAS INC 2,257,861 161,889 0.91%
11 BOSTON PROPERTIES INC 1,077,562 138,671 0.78%
12 ESSEX PPTY TR INC 637,533 131,714 0.74%
13 EXXON MOBIL CORP 1,416,139 130,922 0.74%
14 EQUITY RESIDENTIAL 1,740,538 125,040 0.70%
15 GENERAL GROWTH 4,396,059 123,661 0.69%
16 HOST HOTELS & RESORTS INC 5,006,789 119,011 0.67%
17 SBA COMMUNICATIONS CORP 1,053,752 116,714 0.66%
18 MID AMER APT CMNTYS INC 1,498,661 111,920 0.63%
19 GENERAL ELECTRIC CO 4,324,827 109,288 0.61%
20 PS BUSINESS PKS INC CALIF 1,353,933 107,692 0.61%
21 DDR CORP 5,749,764 105,566 0.59%
22 VISA INC 401,728 105,333 0.59%
23 RLJ LODGING TR COM 3,011,896 100,989 0.57%
24 PFIZER INC 3,204,005 99,805 0.56%
25 NEXTERA ENERGY INC 914,115 97,161 0.55%
26 CAMDEN PROPERTY TRUS 1,315,050 97,103 0.55%
27 FEDERAL REALTY INVS 725,098 96,772 0.54%
28 INTEL CORP 2,587,322 93,894 0.53%
29 JPMORGAN CHASE & CO 1,493,607 93,470 0.53%
30 MERCK & CO INC 1,644,313 93,381 0.52%
31 PROCTER AND GAMBLE CO 1,002,056 91,277 0.51%
32 UNITEDHEALTH GROUP INC 902,772 91,261 0.51%
33 JOHNSON & JOHNSON 840,656 87,907 0.49%
34 HOME DEPOT INC 824,054 86,501 0.49%
35 CHEVRON CORP NEW 770,049 86,384 0.49%
36 AMERICAN TOWER CORP NEW 829,119 81,958 0.46%
37 LIBERTY PROP 2,112,373 79,489 0.45%
38 TANGER FACTORY OUTLET CTRS I 2,127,830 78,645 0.44%
39 COUSINS PROPERTIES INC 6,614,611 75,539 0.42%
40 BANK AMER CORP 4,111,940 73,563 0.41%
41 GILEAD SCIENCES INC 771,532 72,725 0.41%
42 BOEING CO 554,917 72,128 0.41%
43 POLARIS INDS INC 474,944 71,831 0.40%
44 Hewlett Packard Co 1,767,312 70,922 0.40%
45 DOUGLAS EMMETT INC COM 2,490,222 70,722 0.40%
46 VERIZON COMMUNICATIONS INC 1,501,361 70,234 0.39%
47 KINDER MORGAN INC DEL 1,653,056 69,941 0.39%
48 HCP INC 1,541,098 67,855 0.38%
49 PPG INDS INC 288,471 66,680 0.37%
50 DISNEY WALT CO 706,483 66,544 0.37%
Page 1 of 33