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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 (2016Q1)
Portfolio Summary: 996 holdings with a total value of $2,405,078,000.
#
Name
Shares
Value ($)
%
Options
Notes
851 CENTERPOINT ENERGY INC 26,341 552,000 0.02%
852 SNAP ON INC 3,506 549,000 0.02%
853 INTERNATIONAL FLAVORS&FRAGRA 4,814 548,000 0.02%
854 QUEST DIAGNOSTICS INC 7,652 547,000 0.02%
855 INTERNATIONAL BANCSHARES COR 22,130 547,000 0.02%
856 BORGWARNER INC 14,170 544,000 0.02%
857 ABB LTD 27,939 543,000 0.02%
858 CONE Midstream Partners 43,292 542,000 0.02%
859 NATIONAL GRID PLC 7,547 539,000 0.02%
860 FMC TECHNOLOGIES INC 19,458 533,000 0.02%
861 HALYARD HEALTH INC 18,460 529,000 0.02%
862 NISOURCE 22,436 528,000 0.02%
863 CA INC 17,087 526,000 0.02%
864 PLANTRONICS INCORPORATED NEW 13,356 524,000 0.02%
865 WISDOMTREE INVTS INC 45,568 522,000 0.02%
866 AES CORP 44,222 522,000 0.02%
867 VERISIGN INC 5,896 522,000 0.02%
868 DARDEN RESTAURANTS INC 7,843 520,000 0.02%
869 NASDAQ OMX GROUP 7,814 519,000 0.02%
870 KB HOME 36,135 517,000 0.02%
871 HUNT J B TRANS SVCS INC 6,134 517,000 0.02%
872 Neustar Inc CL A 21,034 517,000 0.02%
873 CBRE GROUP INC 17,906 515,000 0.02%
874 TIFFANY & CO NEW 7,013 514,000 0.02%
875 WYNN RESORTS LTD 5,497 514,000 0.02%
876 TOTAL SYS SVCS INC 10,737 511,000 0.02%
877 VANGUARD INDEX FDS 6,190 510,000 0.02%
878 POTLATCHDELTIC CORPORATION 16,133 508,000 0.02%
879 AGL Resources Inc 7,782 507,000 0.02%
880 SM ENERGY CO 26,982 505,000 0.02%
881 CABLEVISION SYS CORP(NEW) NY GROUP CL ACOM 15,287 503,000 0.02%
882 CF INDS HLDGS INC 15,814 495,000 0.02%
883 PINNACLE WEST 6,504 488,000 0.02%
884 BED BATH & BEYOND INC 9,809 486,000 0.02%
885 TRIPADVISOR INC 7,232 481,000 0.02%
886 E TRADE FINANCIAL CORP 19,635 481,000 0.02%
887 NORDSTROM INC 8,379 479,000 0.02%
888 WERNER ENTERPRISES INC 17,649 479,000 0.02%
889 MALLINCKRODT PUB LTD CO 7,754 476,000 0.02%
890 AFFILIATED MANAGERS GROUP 2,920 474,000 0.02%
891 GUESS INC 25,231 473,000 0.02%
892 WESTLAKE CHEM CORP 10,100 468,000 0.02%
893 DISCOVERY COMMUNICATNS NEW 17,243 465,000 0.02%
894 KNOWLES CORP COM 35,005 462,000 0.02%
895 CARNIVAL PLC 8,400 456,000 0.02%
896 VARIAN MED SYS INC 5,705 456,000 0.02%
897 CINTAS CORP 5,063 454,000 0.02%
898 ISHARES TR 3,890 451,000 0.02%
899 LIBERTY MEDIA HOLDING CP INTER A 17,800 449,000 0.02%
900 NETAPP INC 16,444 449,000 0.02%
Page 18 of 20

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-016273, filed 2016.05.06).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.