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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 (2016Q4)
Portfolio Summary: 1,005 holdings with a total value of $2,800,852,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 AVERY DENNISON CORP 9,351 657,000 0.02%
152 KB HOME 41,556 658,000 0.02%
153 ABB LTD 31,502 664,000 0.02%
154 KNOWLES CORP COM 40,060 669,000 0.02%
155 KOHLS 13,603 672,000 0.02%
156 JUNIPER NETWORKS 23,826 673,000 0.02%
157 COACH INC 19,284 675,000 0.02%
158 WESTERN UN CO 31,063 675,000 0.02%
159 F5 NETWORKS INC 4,657 675,000 0.02%
160 ROCKWELL COLLINS INC 7,282 675,000 0.02%
161 HORMEL FOODS CORP 19,431 676,000 0.02%
162 ALBEMARLE CORP 7,859 677,000 0.02%
163 UNITED RENTALS INC 6,451 681,000 0.02%
164 BROWN FORMAN CORP 15,200 682,000 0.02%
165 GREIF INC 13,331 685,000 0.02%
166 ALLEGION PUB LTD CO 10,704 685,000 0.02%
167 P T TELEKOMUNIKASI INDONESIA 23,600 688,000 0.02%
168 BOSTON BEER INC 4,085 693,000 0.02%
169 E TRADE FINANCIAL CORP 20,241 702,000 0.03%
170 LKQ CORP 22,901 702,000 0.03%
171 TESORO CORP 8,040 703,000 0.03%
172 ZIONS BANCORPORATION 16,326 703,000 0.03%
173 DARDEN RESTAURANTS INC 9,692 704,000 0.03%
174 AMETEK INC NEW 14,539 706,000 0.03%
175 WHOLE FOODS MKT INC 23,098 710,000 0.03%
176 FOOT LOCKER INC 10,016 710,000 0.03%
177 NETAPP INC 20,148 711,000 0.03%
178 ALLIANT ENERGY CORP 18,833 713,000 0.03%
179 GLOBAL PMTS INC 10,274 714,000 0.03%
180 C H ROBINSON WORLDWIDE INC 9,776 715,000 0.03%
181 QUEST DIAGNOSTICS INC 7,788 716,000 0.03%
182 EXTRA SPACE STORAGE INC 9,261 716,000 0.03%
183 FORTUNE BRANDS HOME & SEC IN 13,421 717,000 0.03%
184 TRACTOR SUPPLY CO 9,464 718,000 0.03%
185 KANSAS CITY SOUTHERN 8,484 719,000 0.03%
186 MATTEL INC 26,144 720,000 0.03%
187 CHURCH & DWIGHT 16,352 723,000 0.03%
188 CINTAS CORP 6,272 724,000 0.03%
189 TECK RESOURCES LTD 36,265 726,000 0.03%
190 UNIVERSAL HLTH SVCS INC 6,830 727,000 0.03%
191 CONE Midstream Partners 30,906 728,000 0.03%
192 PENTAIR PLC 13,019 729,000 0.03%
193 ACUITY BRANDS INC 3,200 738,000 0.03%
194 COMERICA INC 10,922 744,000 0.03%
195 HOLOGIC INC 18,566 744,000 0.03%
196 CAMPBELL SOUP CO 12,353 747,000 0.03%
197 CMS ENERGY CORP 17,942 747,000 0.03%
198 CARPENTER TECHNOLOGY CORP 20,711 749,000 0.03%
199 HARLEY DAVIDSON INC 12,831 749,000 0.03%
200 CLOROX CO DEL 6,259 751,000 0.03%
Page 4 of 21

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-002142, filed 2017.02.14).

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.