Dark
Light
System
Institutional Investment Manager
Liberty Mutual Group Asset Management Inc.
Liberty Mutual Group Asset Management Inc. (CIK: 0001533497) incorporated in Delaware, located at 175 Berkeley Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0000950123-15-002032) filed in 2015.02.13
#
Name
Shares
Value ($)
%
Options
Notes
601 COCA COLA EUROPEAN PARTNERS SHS 27,979 1,237 0.04%
602 SMUCKER J M CO 12,253 1,237 0.04%
603 NOBLE CORP PLC 74,602 1,236 0.04%
604 HOSPIRA INC. 20,166 1,235 0.04%
605 LINEAR TECHNOLOGY CORP 27,090 1,235 0.04%
606 PVH CORPORATION 9,624 1,234 0.04%
607 D R HORTON INC 48,812 1,234 0.04%
608 UNITED RENTALS INC 12,078 1,232 0.04%
609 AES CORP 89,484 1,232 0.04%
610 MCCORMICK & CO INC 16,569 1,231 0.04%
611 LENNAR CORP 27,467 1,231 0.04%
612 NAVIENT CORPORATION 56,987 1,231 0.04%
613 TYSON FOODS INC 30,713 1,231 0.04%
614 SEALED AIR CORP NEW 28,978 1,230 0.04%
615 HUNTINGTON BANCSHARES INC 116,939 1,230 0.04%
616 MATTEL INC 39,715 1,229 0.04%
617 CA INC 40,328 1,228 0.04%
618 BALL CORP 18,003 1,227 0.04%
619 E TRADE FINANCIAL CORP 50,550 1,226 0.04%
620 EQUIFAX INC 15,154 1,226 0.04%
621 UNDER ARMOUR INC 18,058 1,226 0.04%
622 ALLEGHENY TECHNOLOGIES INC 35,229 1,225 0.04%
623 CVS HEALTH CORP 12,715 1,225 0.04%
624 COMPUTER SCIENCES CORP. 19,410 1,224 0.04%
625 PETSMART 15,013 1,220 0.04%
626 JACOBS ENGR GROUP INC 27,299 1,220 0.04%
627 PULTE GROUP INC 56,851 1,220 0.04%
628 PEPSICO INC 12,872 1,217 0.04%
629 OWENS ILL INC 45,100 1,217 0.04%
630 GILEAD SCIENCES INC 12,913 1,217 0.04%
631 Iron Mountain Inc New 31,466 1,216 0.04%
632 SCHLUMBERGER LTD 14,233 1,216 0.04%
633 MOHAWK INDS INC 7,823 1,215 0.04%
634 KIMCO RLTY CORP 48,267 1,213 0.04%
635 AIRGAS INC 10,523 1,212 0.04%
636 CISCO SYS INC 43,560 1,212 0.04%
637 WATERS CORP 10,756 1,212 0.04%
638 FRONTIER COMMUNICATIONS CORP 181,525 1,211 0.04%
639 NEWS CORP CL A 77,175 1,211 0.04%
640 TRIPADVISOR INC 16,208 1,210 0.04%
641 NEWFIELD EXPL CO 44,555 1,208 0.04%
642 VARIAN MED SYS INC 13,953 1,207 0.04%
643 AGL Resources Inc 22,139 1,207 0.04%
644 HOME DEPOT INC 11,497 1,207 0.04%
645 NRG ENERGY INC 44,731 1,206 0.04%
646 PINNACLE WEST 17,650 1,206 0.04%
647 F5 NETWORKS INC 9,240 1,205 0.04%
648 XILINX INC 27,829 1,205 0.04%
649 TESORO CORP 16,174 1,203 0.04%
650 SNAP ON INC 8,789 1,202 0.04%
Page 13 of 91