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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

SECURIAN ASSET MANAGEMENT, INC INSTITUTION : SECURIAN ASSET MANAGEMENT, INC
SECURIAN ASSET MANAGEMENT, INC Buys/Sells In Portfolio (reported on 2020-05-07)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Taylor Morrison Home Corp    (COMMOTMHC13,6000
New Buy
New Buy
Aon PLC/UK    (COMMON STOCK)23,3080
New Buy
New Buy
Darling Ingredients Inc    (COMMON DAR16,7970
New Buy
New Buy
CIT Group Inc    (COMMON STOCK)CIT9,7300
New Buy
New Buy
Xerox Holdings Corp    (COMMON STOC18,4820
New Buy
New Buy
Paycom Software Inc    (COMMON STOCPAYC4,8700
New Buy
New Buy
Generac Holdings Inc    (COMMON STOGNRC6,2400
New Buy
New Buy
Janus Henderson Group PLC    (COMMO15,9750
New Buy
New Buy
IHS Markit Ltd    (COMMON STOCK)39,6960
New Buy
New Buy
Johnson Controls International plc   &nb75,4780
New Buy
New Buy
Independence Realty Trust Inc    (RIRT50,9800
New Buy
New Buy
iShares 20 Year Treasury Bond ETF   &nbsTLT1,1700
New Buy
New Buy
VICI Properties Inc    (REIT)1,000,80733,548
Added967,259
2883.20%
VEREIT Inc    (REIT)1,636,96059,045
Added1,577,915
2672.39%
KKR Income Opportunities Fund    (P400,00014,623
Added385,377
2635.41%
Hilton Worldwide Holdings Inc    (C95,5965,544
Added90,052
1624.31%
EPR Properties    (PUBLIC)78,7614,581
Added74,180
1619.29%
Pebblebrook Hotel Trust    (PUBLIC)55,4903,320
Added52,170
1571.38%
Industrial Logistics Properties Trust   65,7454,242
Added61,503
1449.85%
Healthpeak Properties Inc    (REIT)879,44261,328
Added818,114
1333.99%
Saul Centers Inc    (PUBLIC)64,6004,970
Added59,630
1199.79%
Evergy Inc    (COMMON STOCK)51,3044,357
Added46,947
1077.50%
Summit Hotel Properties Inc    (PUB62,2006,341
Added55,859
880.91%
Sempra Energy    (PUBLIC)49,7005,171
Added44,529
861.12%
Invitation Homes Inc    (REIT)802,97483,705
Added719,269
859.29%
Perspecta Inc    (COMMON STOCK)14,1161,678
Added12,438
741.23%
Four Corners Property Trust Inc    293,96535,066
Added258,899
738.31%
iShares Core MSCI International Developed Markets 91,66512,117
Added79,548
656.49%
Public Storage    (PUBLIC)90,00012,608
Added77,392
613.83%
Accenture PLC    (COMMON STOCK)63,0088,932
Added54,076
605.41%
Transocean Ltd    (COMMON STOCK)59,0458,836
Added50,209
568.23%
CyrusOne Inc    (REIT)CONE291,18145,270
Added245,911
543.20%
Diversified Healthcare Trust    (RE24,4234,147
Added20,276
488.93%
Pebblebrook Hotel Trust    (PUBLIC)74,60014,116
Added60,484
428.47%
Ryman Hospitality Properties Inc    RHP115,72723,000
Added92,727
403.16%
Spirit Realty Capital Inc    (EQUIT198,53842,300
Added156,238
369.35%
Amcor PLC    (COMMON STOCK)158,52335,160
Added123,363
350.86%
Jernigan Capital Inc    (REIT)81,60022,486
Added59,114
262.89%
Viper Energy Partners LP    (MLP)VNOM85,10024,100
Added61,000
253.11%
Brixmor Property Group Inc    (REITBRX456,102147,777
Added308,325
208.64%
iShares Core International Aggregate Bond ETF &nbs76,57525,859
Added50,716
196.12%
L3Harris Technologies Inc    (COMMO22,2027,878
Added14,324
181.82%
Summit Hotel Properties Inc    (PUB42,30015,749
Added26,551
168.58%
Investors Real Estate Trust    (PUB47,58618,232
Added29,354
161.00%
Clearway Energy Inc    (COMMON STOC45,84818,048
Added27,800
154.03%
Brookfield Infrastructure Partners LP   62,80025,295
Added37,505
148.27%
Goldman Sachs Group Inc/The    (USD2,000,000808,609
Added1,191,391
147.33%
Invesco Ltd    (COMMON STOCK)36,32814,721
Added21,607
146.77%
Realty Income Corp    (REIT)O214,74387,086
Added127,657
146.58%
Truist Financial Corp    (COMMON ST131,13853,646
Added77,492
144.45%
Wells Fargo & Co    (PUBLIC)20,0008,539
Added11,461
134.21%
ViacomCBS Inc    (COMMON STOCK)52,81423,622
Added29,192
123.57%
Linde PLC    (COMMON STOCK)53,39024,183
Added29,207
120.77%
Fox Corp    (COMMON STOCK)34,50915,993
Added18,516
115.77%
Wyndham Hotels & Resorts Inc    (CO9,7704,717
Added5,053
107.12%
PPL Corp    (COMMON STOCK)PPL144,23371,728
Added72,505
101.08%
Jefferies Financial Group Inc    (C24,51912,613
Added11,906
94.39%
Hersha Hospitality Trust    (PUBLIC55,62828,618
Added27,010
94.38%
Dow Inc    (COMMON STOCK)74,16440,000
Added34,164
85.41%
Knight-Swift Transportation Holdings Inc  &nb12,6136,917
Added5,696
82.34%
Outfront Media Inc    (REIT)OUT54,90032,400
Added22,500
69.44%
Highwoods Properties Inc    (REIT)HIW196,349117,049
Added79,300
67.74%
Aptiv PLC    (COMMON STOCK)24,79514,874
Added9,921
66.70%
CatchMark Timber Trust Inc    (REITCTT167,790102,790
Added65,000
63.23%
Ventas Inc    (REIT)VTR408,668252,152
Added156,516
62.07%
Fox Corp    (COMMON STOCK)15,7939,798
Added5,995
61.18%
Hannon Armstrong Sustainable Infrastructure CapitaHASI49,03130,531
Added18,500
60.59%
Sempra Energy    (COMMON STOCK)SRE45,38928,379
Added17,010
59.93%
Public Storage    (PUBLIC)61,40040,000
Added21,400
53.50%
Sunstone Hotel Investors Inc    (PU40,89727,465
Added13,432
48.90%
Welltower Inc    (REIT)HCN507,137342,182
Added164,955
48.20%
Old Dominion Freight Line Inc    (CODFL9,5246,549
Added2,975
45.42%
Seagate Technology PLC    (COMMON S22,69715,975
Added6,722
42.07%
Lumentum Holdings Inc    (COMMON ST7,8785,573
Added2,305
41.36%
Centene Corp    (COMMON STOCK)CNC57,07840,905
Added16,173
39.53%
Equity Lifestyle Properties Inc    ELS67,99450,414
Added17,580
34.87%
Public Storage    (REIT)PSA131,48998,164
Added33,325
33.94%
Hudson Pacific Properties Inc    (RHPP40,00030,800
Added9,200
29.87%
Targa Resources Corp    (COMMON STOTRGP48,37537,375
Added11,000
29.43%
iShares MSCI Germany ETF    (ETF)EWG727,128587,328
Added139,800
23.80%
Columbia Property Trust Inc    (REICXP64,70052,500
Added12,200
23.23%
Healthcare Trust of America Inc    HTA372,413304,098
Added68,315
22.46%
Magellan Midstream Partners LP    (MMP99,38581,185
Added18,200
22.41%
NortonLifeLock Inc    (COMMON STOCK56,87347,000
Added9,873
21.00%
Cheniere Energy Partners LP    (MLPCQP54,78745,487
Added9,300
20.44%
Gaming and Leisure Properties Inc   &nbsGLPI204,710170,170
Added34,540
20.29%
National Retail Properties Inc    (NNN94,38278,882
Added15,500
19.64%
iShares Core S&P Mid-Cap ETF    (ETIJH21,72518,160
Added3,565
19.63%
Essential Properties Realty Trust Inc   48,97941,179
Added7,800
18.94%
Camden Property Trust    (REIT)CPT216,073181,857
Added34,216
18.81%
ONEOK Inc    (COMMON STOCK)OKE111,16994,112
Added17,057
18.12%
iShares Edge MSCI Min Vol Emerging Markets ETF &nbEEMV505,271428,271
Added77,000
17.97%
PolyOne Corp    (COMMON STOCK)POL9,2757,875
Added1,400
17.77%
STORE Capital Corp    (REIT)STOR456,897389,897
Added67,000
17.18%
DTE Energy Co    (COMMON STOCK)DTE37,59632,755
Added4,841
14.77%
iShares Core High Dividend ETF    (HDV1,373,7441,199,024
Added174,720
14.57%
Mid-America Apartment Communities Inc   MAA32,00928,122
Added3,887
13.82%
Invesco DB Commodity Index Tracking Fund  &nb54,00047,586
Added6,414
13.47%
Prologis Inc    (REIT)PLD722,069636,314
Added85,755
13.47%
CMS Energy Corp    (PUBLIC)45,60040,200
Added5,400
13.43%
Enterprise Products Partners LP    EPD247,300218,400
Added28,900
13.23%
Corporate Office Properties Trust   &nbsOFC67,39259,814
Added7,578
12.66%
Brookfield Property Partners LP    BPY84,08075,280
Added8,800
11.68%
Equinix Inc    (REIT)EQIX92,50483,305
Added9,199
11.04%
USA Compression Partners LP    (MLPUSAC116,684105,284
Added11,400
10.82%
TechnipFMC PLC    (COMMON STOCK)40,93236,990
Added3,942
10.65%
Boston Properties Inc    (REIT)BXP178,784162,179
Added16,605
10.23%
Essex Property Trust Inc    (REIT)ESS58,21453,333
Added4,881
9.15%
iShares Edge MSCI Min Vol USA ETF   &nbsUSMV2,290,0462,113,761
Added176,285
8.33%
South Jersey Industries Inc    (COMSJI86,87780,377
Added6,500
8.08%
iShares Edge MSCI Min Vol EAFE ETF   &nbEFAV1,648,6921,525,612
Added123,080
8.06%
Catalent Inc    (COMMON STOCK)CTLT15,93515,020
Added915
6.09%
PS Business Parks Inc    (PUBLIC)78,20073,800
Added4,400
5.96%
Vanguard S&P 500 ETF    (ETF)VOO57,58054,605
Added2,975
5.44%
iShares Broad USD High Yield Corporate Bond ETF &n85,15781,600
Added3,557
4.35%
Advanced Micro Devices Inc    (COMMAMD116,951113,232
Added3,719
3.28%
Verizon Communications Inc    (COMMVZ454,868440,918
Added13,950
3.16%
iShares Broad USD Investment Grade Corporate Bond CFT140,400136,100
Added4,300
3.15%
Tootsie Roll Industries Inc    (COMTR1,7001,650
Added50
3.03%
Cimarex Energy Co    (COMMON STOCK)XEC10,46010,155
Added305
3.00%
Equity Residential    (REIT)EQR188,078182,960
Added5,118
2.79%
Brookfield Renewable Partners LP    BEP30,00029,400
Added600
2.04%
Kilroy Realty Corp    (REIT)KRC174,541172,241
Added2,300
1.33%
SPDR S&P 500 ETF    (ETF)SPY36,47036,170
Added300
0.82%
AT&T INC    (COMMON STOCK)T756,269756,079
Added190
0.02%
FIRST INDUSTRIAL REALTY TRUST    (RFR268,017268,547
Reduced530
0.19%
Agree Realty Corp    (REIT)ADC161,951162,431
Reduced480
0.29%
Weyerhaeuser Co    (REIT)WY194,020195,121
Reduced1,101
0.56%
UDR Inc    (REIT)UDR411,986414,905
Reduced2,919
0.70%
Alexandria Real Estate Equities Inc   &nARE222,424224,042
Reduced1,618
0.72%
Exelon Corp    (COMMON STOCK)EXC207,652209,193
Reduced1,541
0.73%
Extra Space Storage Inc    (REIT)EXR134,394135,394
Reduced1,000
0.73%
Molson Coors Brewing Co    (COMMON TAP18,28218,421
Reduced139
0.75%
Under Armour Inc    (COMMON STOCK)UA18,32518,472
Reduced147
0.79%
Fortune Brands Home & Security Inc   &nbFBHS13,87313,988
Reduced115
0.82%
Alaska Air Group Inc    (COMMON STOALK11,90412,004
Reduced100
0.83%
Hasbro Inc    (COMMON STOCK)HAS12,40412,509
Reduced105
0.83%
Robert Half International Inc    (CRHI11,38111,481
Reduced100
0.87%
Republic Services Inc    (COMMON STRSG20,74320,926
Reduced183
0.87%
Xylem Inc/NY    (COMMON STOCK)XYL17,75917,916
Reduced157
0.87%
Tractor Supply Co    (COMMON STOCK)TSCO11,63911,742
Reduced103
0.87%
Skyworks Solutions Inc    (COMMON SSWKS16,82816,986
Reduced158
0.93%
Eastman Chemical Co    (COMMON STOCEMN13,26613,396
Reduced130
0.97%
Albemarle Corp    (COMMON STOCK)ALB10,12810,228
Reduced100
0.97%
Rollins Inc    (COMMON STOCK)ROL13,79613,933
Reduced137
0.98%
Westinghouse Air Brake Technologies Corp  &nbWAB17,71617,892
Reduced176
0.98%
DISH Network Corp    (COMMON STOCK)DISH24,96425,214
Reduced250
0.99%
Fortive Corp    (COMMON STOCK)FTV28,86229,154
Reduced292
1.00%
T-Mobile US Inc    (COMMON STOCK)TMUS30,93631,252
Reduced316
1.01%
Iron Mountain Inc    (REIT)IRM28,06728,357
Reduced290
1.02%
Cousins Properties Inc    (REIT)400,931405,120
Reduced4,189
1.03%
Constellation Brands Inc    (COMMONSTZ16,47616,650
Reduced174
1.04%
Ameren Corp    (COMMON STOCK)AEE24,00424,258
Reduced254
1.04%
Roper Technologies Inc    (COMMON SROP10,49310,605
Reduced112
1.05%
Laboratory Corp of America Holdings   &nLH9,6189,721
Reduced103
1.05%
Illumina Inc    (COMMON STOCK)ILMN14,67314,832
Reduced159
1.07%
HCA Holdings Inc    (COMMON STOCK)HCA25,94126,227
Reduced286
1.09%
Pioneer Natural Resources Co    (COPXD16,44316,626
Reduced183
1.10%
Cummins Inc    (COMMON STOCK)CMI15,27115,441
Reduced170
1.10%
Agilent Technologies Inc    (COMMONA30,57530,923
Reduced348
1.12%
Moody's Corp    (COMMON STOCK)MCO16,35716,544
Reduced187
1.13%
DaVita Inc    (COMMON STOCK)DVA8,6398,739
Reduced100
1.14%
Northrop Grumman Corp    (COMMON STNOC15,81616,000
Reduced184
1.14%
Nucor Corp    (COMMON STOCK)NUE29,58329,928
Reduced345
1.15%
Kellogg Co    (COMMON STOCK)K24,29224,580
Reduced288
1.17%
Expeditors International of Washington Inc  &EXPD16,77416,976
Reduced202
1.18%
KLA Corp    (COMMON STOCK)KLAC15,79615,991
Reduced195
1.21%
Alphabet Inc    (COMMON STOCK)GOOG30,05030,421
Reduced371
1.21%
Charter Communications Inc    (COMMCHTR15,75715,952
Reduced195
1.22%
Intuit Inc    (COMMON STOCK)INTU26,08126,406
Reduced325
1.23%
Regeneron Pharmaceuticals Inc    (CREGN8,0218,121
Reduced100
1.23%
Intuitive Surgical Inc    (COMMON SISRG11,63011,776
Reduced146
1.23%
Motorola Solutions Inc    (COMMON SMSI17,21317,430
Reduced217
1.24%
M&T Bank Corp    (COMMON STOCK)MTB12,91513,079
Reduced164
1.25%
Becton Dickinson and Co    (COMMON BDX26,58726,925
Reduced338
1.25%
Lam Research Corp    (COMMON STOCK)LRCX14,54014,726
Reduced186
1.26%
Stanley Black & Decker Inc    (COMMSWK14,98715,180
Reduced193
1.27%
Clorox Co/The    (COMMON STOCK)CLX12,36912,529
Reduced160
1.27%
Concho Resources Inc    (COMMON STOCXO19,57919,833
Reduced254
1.28%
Equifax Inc    (COMMON STOCK)EFX12,01012,166
Reduced156
1.28%
Alliant Energy Corp    (COMMON STOCLNT23,44823,753
Reduced305
1.28%
Discovery Inc    (COMMON STOCK)DISCA15,32015,520
Reduced200
1.28%
Howmet Aerospace Inc    (COMMON STO38,23038,735
Reduced505
1.30%
IDEX Corp    (COMMON STOCK)IEX7,5517,651
Reduced100
1.30%
Cadence Design Systems Inc    (COMMCDNS27,95928,332
Reduced373
1.31%
CarMax Inc    (COMMON STOCK)KMX16,39716,616
Reduced219
1.31%
ResMed Inc    (COMMON STOCK)RMD14,39314,586
Reduced193
1.32%
McCormick & Co Inc/MD    (COMMON STMKC12,23012,394
Reduced164
1.32%
Brown-Forman Corp    (COMMON STOCK)BF/B18,10418,347
Reduced243
1.32%
Hess Corp    (COMMON STOCK)HES25,82726,174
Reduced347
1.32%
Macy's Inc    (COMMON STOCK)M30,12830,535
Reduced407
1.33%
Equitrans Midstream Corp    (COMMON20,64120,921
Reduced280
1.33%
Hormel Foods Corp    (COMMON STOCK)HRL27,12127,492
Reduced371
1.34%
Eversource Energy    (COMMON STOCK)ES31,64232,076
Reduced434
1.35%
L Brands Inc    (COMMON STOCK)LTD22,55422,865
Reduced311
1.36%
S&P Global Inc    (COMMON STOCK)SPGI24,52424,863
Reduced339
1.36%
Align Technology Inc    (COMMON STOALGN7,2157,315
Reduced100
1.36%
CMS Energy Corp    (COMMON STOCK)CMS27,65328,040
Reduced387
1.38%
Paychex Inc    (COMMON STOCK)PAYX31,55431,998
Reduced444
1.38%
Genuine Parts Co    (COMMON STOCK)GPC14,15814,358
Reduced200
1.39%
Interpublic Group of Cos Inc/The    IPG37,74738,285
Reduced538
1.40%
Coty Inc    (COMMON STOCK)COTY29,15329,569
Reduced416
1.40%
Keysight Technologies Inc    (COMMOKEYS18,64518,912
Reduced267
1.41%
Quanta Services Inc    (COMMON STOCPWR13,90514,105
Reduced200
1.41%
Progressive Corp/The    (COMMON STOPGR57,93158,766
Reduced835
1.42%
Kraft Heinz Co/The    (COMMON STOCKKHC60,83361,721
Reduced888
1.43%
T Rowe Price Group Inc    (COMMON STROW23,21123,550
Reduced339
1.43%
Pentair PLC    (COMMON STOCK)PNR16,33116,570
Reduced239
1.44%
Newell Brands Inc    (COMMON STOCK)NWL37,18837,734
Reduced546
1.44%
Tyson Foods Inc    (COMMON STOCK)TSN29,14729,576
Reduced429
1.45%
Applied Materials Inc    (COMMON STAMAT92,39493,755
Reduced1,361
1.45%
United Rentals Inc    (COMMON STOCKURI7,5227,633
Reduced111
1.45%
AmerisourceBergen Corp    (COMMON SABC14,62514,841
Reduced216
1.45%
Advance Auto Parts Inc    (COMMON SAAP6,7406,840
Reduced100
1.46%
Newmont Mining Corp    (COMMON STOCNEM80,18981,381
Reduced1,192
1.46%
Fastenal Co    (COMMON STOCK)FAST56,90157,750
Reduced849
1.47%
Western Digital Corp    (COMMON STOWDC28,98529,419
Reduced434
1.47%
Biogen Inc    (COMMON STOCK)BIIB17,74218,008
Reduced266
1.47%
Hartford Financial Services Group Inc/The  &nHIG35,18635,720
Reduced534
1.49%
Perrigo Co PLC    (COMMON STOCK)PRGO13,16613,366
Reduced200
1.49%
FLIR Systems Inc    (COMMON STOCK)FLIR13,14913,349
Reduced200
1.49%
Jacobs Engineering Group Inc    (COJEC13,11113,311
Reduced200
1.50%
American International Group Inc    AIG85,06086,360
Reduced1,300
1.50%
General Mills Inc    (COMMON STOCK)GIS59,08359,988
Reduced905
1.50%
Edison International    (COMMON STOEIX35,03135,568
Reduced537
1.50%
Omnicom Group Inc    (COMMON STOCK)OMC21,18821,514
Reduced326
1.51%
Archer-Daniels-Midland Co    (COMMOADM54,35355,192
Reduced839
1.52%
Analog Devices Inc    (COMMON STOCKADI36,79837,368
Reduced570
1.52%
O'Reilly Automotive Inc    (COMMON ORLY7,6747,793
Reduced119
1.52%
Anthem Inc    (COMMON STOCK)ANTM24,93025,317
Reduced387
1.52%
FMC Corp    (COMMON STOCK)FMC12,86813,068
Reduced200
1.53%
Corteva Inc    (COMMON STOCK)73,22474,367
Reduced1,143
1.53%
Baker Hughes a GE Co LLC    (COMMON63,55064,543
Reduced993
1.53%
Parker-Hannifin Corp    (COMMON STOPH12,79612,996
Reduced200
1.53%
Autodesk Inc    (COMMON STOCK)ADSK21,94522,288
Reduced343
1.53%
Baxter International Inc    (COMMONBAX50,19750,982
Reduced785
1.53%
Waters Corp    (COMMON STOCK)WAT6,3886,488
Reduced100
1.54%
Cognizant Technology Solutions Corp   &nCTSH53,48854,326
Reduced838
1.54%
Noble Energy Inc    (COMMON STOCK)NBL46,65147,382
Reduced731
1.54%
Xcel Energy Inc    (COMMON STOCK)XEL51,18951,992
Reduced803
1.54%
PACCAR Inc    (COMMON STOCK)PCAR34,47135,012
Reduced541
1.54%
Mylan NV    (COMMON STOCK)MYL50,32951,119
Reduced790
1.54%
Valero Energy Corp    (COMMON STOCKVLO40,17640,807
Reduced631
1.54%
Kroger Co/The    (COMMON STOCK)KR78,40279,636
Reduced1,234
1.54%
Public Service Enterprise Group Inc   &nPEG49,33150,108
Reduced777
1.55%
Flowserve Corp    (COMMON STOCK)FLS12,65012,850
Reduced200
1.55%
International Paper Co    (COMMON SIP38,23838,844
Reduced606
1.56%
Ameriprise Financial Inc    (COMMONAMP12,60812,808
Reduced200
1.56%
Colgate-Palmolive Co    (COMMON STOCL84,69686,041
Reduced1,345
1.56%
Micron Technology Inc    (COMMON STMU110,727112,487
Reduced1,760
1.56%
Vulcan Materials Co    (COMMON STOCVMC13,20813,418
Reduced210
1.56%
Arthur J Gallagher & Co    (COMMON AJG18,39618,689
Reduced293
1.56%
Vertex Pharmaceuticals Inc    (COMMVRTX25,66126,070
Reduced409
1.56%
Fidelity National Information Services Inc  &FIS60,12361,082
Reduced959
1.57%
Martin Marietta Materials Inc    (CMLM6,2696,369
Reduced100
1.57%
Maxim Integrated Products Inc    (CMXIM26,63627,062
Reduced426
1.57%
Citizens Financial Group Inc    (COCFG42,44743,126
Reduced679
1.57%
NiSource Inc    (COMMON STOCK)NI36,33436,916
Reduced582
1.57%
Apache Corp    (COMMON STOCK)APA37,14037,735
Reduced595
1.57%
Twitter Inc    (COMMON STOCK)TWTR75,96277,180
Reduced1,218
1.57%
Western Union Co/The    (COMMON STOWU41,93042,605
Reduced675
1.58%
Williams Cos Inc/The    (COMMON STOWMB118,564120,473
Reduced1,909
1.58%
Activision Blizzard Inc    (COMMON ATVI75,07676,287
Reduced1,211
1.58%
Prudential Financial Inc    (COMMONPRU39,23839,872
Reduced634
1.59%
Kimco Realty Corp    (REIT)KIM41,10141,767
Reduced666
1.59%
Humana Inc    (COMMON STOCK)HUM13,01713,228
Reduced211
1.59%
Discovery Inc    (COMMON STOCK)DISCK32,73533,266
Reduced531
1.59%
Discover Financial Services    (COMDFS30,99531,498
Reduced503
1.59%
Emerson Electric Co    (COMMON STOCEMR60,31761,297
Reduced980
1.59%
AbbVie Inc    (COMMON STOCK)ABBV146,397148,776
Reduced2,379
1.59%
Whirlpool Corp    (COMMON STOCK)WHR6,1536,253
Reduced100
1.59%
Freeport-McMoRan Inc    (COMMON STOFCX143,700146,042
Reduced2,342
1.60%
Southern Co/The    (COMMON STOCK)SO102,573104,245
Reduced1,672
1.60%
Occidental Petroleum Corp    (COMMOOXY87,40588,830
Reduced1,425
1.60%
Schlumberger Ltd    (COMMON STOCK)SLB135,441137,650
Reduced2,209
1.60%
BOSTON SCIENTIFIC CORP    (COMMON SBSX138,168140,423
Reduced2,255
1.60%
Juniper Networks Inc    (COMMON STOJNPR32,61433,148
Reduced534
1.61%
EOG Resources Inc    (COMMON STOCK)EOG57,49158,435
Reduced944
1.61%
Hologic Inc    (COMMON STOCK)HOLX26,35326,786
Reduced433
1.61%
Delta Air Lines Inc    (COMMON STOCDAL56,22657,152
Reduced926
1.62%
Southwest Airlines Co    (COMMON STLUV46,25447,016
Reduced762
1.62%
Conagra Brands Inc    (COMMON STOCKCAG47,42448,206
Reduced782
1.62%
Danaher Corp    (COMMON STOCK)DHR63,43964,486
Reduced1,047
1.62%
VF Corp    (COMMON STOCK)VFC32,30432,838
Reduced534
1.62%
Philip Morris International Inc    PM153,725156,267
Reduced2,542
1.62%
CenturyLink Inc    (COMMON STOCK)CTL96,00397,595
Reduced1,592
1.63%
Hanesbrands Inc    (COMMON STOCK)HBI35,21135,795
Reduced584
1.63%
United Parcel Service Inc    (COMMOUPS69,25070,399
Reduced1,149
1.63%
TJX Cos Inc/The    (COMMON STOCK)TJX121,213123,226
Reduced2,013
1.63%
Cabot Oil & Gas Corp    (COMMON STOCOG40,46341,135
Reduced672
1.63%
Caterpillar Inc    (COMMON STOCK)CAT54,78555,695
Reduced910
1.63%
Global Payments Inc    (COMMON STOCGPN29,74330,238
Reduced495
1.63%
Phillips 66    (COMMON STOCK)PSX43,95944,691
Reduced732
1.63%
Texas Instruments Inc    (COMMON STTXN92,72494,271
Reduced1,547
1.64%
Sysco Corp    (COMMON STOCK)SYY50,42151,263
Reduced842
1.64%
General Motors Co    (COMMON STOCK)GM123,012125,070
Reduced2,058
1.64%
CBRE Group Inc    (COMMON STOCK)CBG33,40133,960
Reduced559
1.64%
Alphabet Inc    (COMMON STOCK)GOOGL30,04830,551
Reduced503
1.64%
Corning Inc    (COMMON STOCK)GLW76,03877,311
Reduced1,273
1.64%
Eli Lilly and Co    (COMMON STOCK)LLY83,68185,083
Reduced1,402
1.64%
QUALCOMM Inc    (COMMON STOCK)QCOM114,208116,122
Reduced1,914
1.64%
Aflac Inc    (COMMON STOCK)AFL71,72072,922
Reduced1,202
1.64%
Leggett & Platt Inc    (COMMON STOCLEG12,92713,144
Reduced217
1.65%
Las Vegas Sands Corp    (COMMON STOLVS33,28733,846
Reduced559
1.65%
Capital One Financial Corp    (COMMCOF45,54346,308
Reduced765
1.65%
Carnival Corp    (COMMON STOCK)CCL38,97039,625
Reduced655
1.65%
PayPal Holdings Inc    (COMMON STOCPYPL117,414119,388
Reduced1,974
1.65%
National Oilwell Varco Inc    (COMMNOV37,87438,511
Reduced637
1.65%
HP Inc    (COMMON STOCK)HPQ144,991147,432
Reduced2,441
1.65%
AUTOMATIC DATA PROCESSNG    (COMMONADP42,86543,587
Reduced722
1.65%
IDEXX Laboratories Inc    (COMMON SIDXX8,6428,788
Reduced146
1.66%
Devon Energy Corp    (COMMON STOCK)DVN37,84638,486
Reduced640
1.66%
TWDC Enterprises 18 Corp    (COMMONDIS178,749181,772
Reduced3,023
1.66%
F5 Networks Inc    (COMMON STOCK)FFIV5,9126,012
Reduced100
1.66%
Altria Group Inc    (COMMON STOCK)MO184,372187,494
Reduced3,122
1.66%
Gilead Sciences Inc    (COMMON STOCGILD123,789125,888
Reduced2,099
1.66%
Bristol-Myers Squibb Co    (COMMON BMY232,173236,113
Reduced3,940
1.66%
CVS Health Corp    (COMMON STOCK)CVS127,237129,400
Reduced2,163
1.67%
Illinois Tool Works Inc    (COMMON ITW29,02229,516
Reduced494
1.67%
Huntington Bancshares Inc/OH    (COHBAN100,972102,692
Reduced1,720
1.67%
Marathon Oil Corp    (COMMON STOCK)MRO78,26779,601
Reduced1,334
1.67%
CF Industries Holdings Inc    (COMMCF21,17021,531
Reduced361
1.67%
American Tower Corp    (REIT)AMT44,26045,015
Reduced755
1.67%
MGM Resorts International    (COMMOMGM51,07051,942
Reduced872
1.67%
Monster Beverage Corp    (COMMON STMNST37,88738,534
Reduced647
1.67%
ConocoPhillips    (COMMON STOCK)COP109,702111,576
Reduced1,874
1.67%
Amphenol Corp    (COMMON STOCK)APH29,49930,003
Reduced504
1.67%
Facebook Inc    (COMMON STOCK)FB240,699244,812
Reduced4,113
1.68%
LKQ Corp    (COMMON STOCK)LKQX30,25030,767
Reduced517
1.68%
Abbott Laboratories    (COMMON STOCABT175,160178,154
Reduced2,994
1.68%
International Business Machines Corp   &IBM86,64488,126
Reduced1,482
1.68%
eBay Inc    (COMMON STOCK)EBAY76,48677,795
Reduced1,309
1.68%
Starbucks Corp    (COMMON STOCK)SBUX118,124120,146
Reduced2,022
1.68%
Microsoft Corp    (COMMON STOCK)MSFT763,048776,112
Reduced13,064
1.68%
Apple Inc    (COMMON STOCK)AAPL417,758424,911
Reduced7,153
1.68%
Mastercard Inc    (COMMON STOCK)MA88,79590,316
Reduced1,521
1.68%
Visa Inc    (COMMON STOCK)V171,167174,099
Reduced2,932
1.68%
Marathon Petroleum Corp    (COMMON MPC63,50764,595
Reduced1,088
1.68%
Estee Lauder Cos Inc/The    (COMMONEL22,27922,661
Reduced382
1.68%
McDonald's Corp    (COMMON STOCK)MCD74,40775,683
Reduced1,276
1.68%
Halliburton Co    (COMMON STOCK)HAL85,83787,310
Reduced1,473
1.68%
News Corp    (COMMON STOCK)NWS11,64011,840
Reduced200
1.68%
Zoetis Inc    (COMMON STOCK)ZTS47,60748,425
Reduced818
1.68%
Allstate Corp/The    (COMMON STOCK)ALL31,68532,230
Reduced545
1.69%
Medtronic PLC    (COMMON STOCK)MDT131,150133,407
Reduced2,257
1.69%
Darden Restaurants Inc    (COMMON SDRI12,02612,233
Reduced207
1.69%
Edwards Lifesciences Corp    (COMMOEW20,78521,143
Reduced358
1.69%
Charles Schwab Corp/The    (COMMON SCHW113,678115,636
Reduced1,958
1.69%
Home Depot Inc/The    (COMMON STOCKHD108,420110,288
Reduced1,868
1.69%
Coca-Cola Co/The    (COMMON STOCK)KO380,652387,217
Reduced6,565
1.69%
Lowe's Cos Inc    (COMMON STOCK)LOW76,09677,409
Reduced1,313
1.69%
NIKE Inc    (COMMON STOCK)NKE123,733125,868
Reduced2,135
1.69%
Amgen Inc    (COMMON STOCK)AMGN58,90259,919
Reduced1,017
1.69%
Oracle Corp    (COMMON STOCK)ORCL214,806218,515
Reduced3,709
1.69%
Dover Corp    (COMMON STOCK)DOV14,30414,551
Reduced247
1.69%
Marsh & McLennan Cos Inc    (COMMONMMC50,00150,865
Reduced864
1.69%
Procter & Gamble Co/The    (COMMON PG247,156251,427
Reduced4,271
1.69%
Union Pacific Corp    (COMMON STOCKUNP68,86070,050
Reduced1,190
1.69%
Intel Corp    (COMMON STOCK)INTC431,022438,472
Reduced7,450
1.69%
Comcast Corp    (COMMON STOCK)CMCSA449,730457,504
Reduced7,774
1.69%
American Express Co    (COMMON STOCAXP66,52767,677
Reduced1,150
1.69%
Merck & Co Inc    (COMMON STOCK)MRK252,159256,518
Reduced4,359
1.69%
State Street Corp    (COMMON STOCK)STT35,56136,176
Reduced615
1.70%
Cardinal Health Inc    (COMMON STOCCAH28,49128,984
Reduced493
1.70%
Cigna Corp    (COMMON STOCK)36,51437,146
Reduced632
1.70%
CSX Corp    (COMMON STOCK)CSX76,93278,264
Reduced1,332
1.70%
Zimmer Biomet Holdings Inc    (COMMZMH20,09920,447
Reduced348
1.70%
JPMorgan Chase & Co    (COMMON STOCJPM310,168315,539
Reduced5,371
1.70%
PepsiCo Inc    (COMMON STOCK)PEP137,896140,284
Reduced2,388
1.70%
Pfizer Inc    (COMMON STOCK)PFE541,490550,873
Reduced9,383
1.70%
Honeywell International Inc    (COMHON70,62971,853
Reduced1,224
1.70%
NextEra Energy Inc    (COMMON STOCKNEE48,38949,228
Reduced839
1.70%
Johnson & Johnson    (COMMON STOCK)JNJ259,923264,430
Reduced4,507
1.70%
Qorvo Inc    (COMMON STOCK)QRVO11,52911,729
Reduced200
1.70%
FleetCor Technologies Inc    (COMMOFLT8,6988,849
Reduced151
1.70%
American Airlines Group Inc    (COMAAL38,06738,728
Reduced661
1.70%
Mosaic Co/The    (COMMON STOCK)MOS34,17434,768
Reduced594
1.70%
BorgWarner Inc    (COMMON STOCK)BWA20,06720,416
Reduced349
1.70%
Exxon Mobil Corp    (COMMON STOCK)XOM413,994421,197
Reduced7,203
1.71%
Lennar Corp    (COMMON STOCK)LEN27,28927,764
Reduced475
1.71%
Kimberly-Clark Corp    (COMMON STOCKMB33,80834,397
Reduced589
1.71%
People's United Financial Inc    (CPBCT43,36844,124
Reduced756
1.71%
DR Horton Inc    (COMMON STOCK)DHI33,42734,010
Reduced583
1.71%
salesforce.com Inc    (COMMON STOCKCRM88,63190,178
Reduced1,547
1.71%
CONSOLIDATED EDISON INC    (COMMON ED32,47633,043
Reduced567
1.71%
Bank of New York Mellon Corp/The    BK82,10983,545
Reduced1,436
1.71%
Fifth Third Bancorp    (COMMON STOCFITB69,40670,620
Reduced1,214
1.71%
Walmart Inc    (COMMON STOCK)WMT138,834141,263
Reduced2,429
1.71%
Intercontinental Exchange Inc    (CICE55,14956,114
Reduced965
1.71%
Berkshire Hathaway Inc    (COMMON SBRK/B191,391194,740
Reduced3,349
1.71%
Chevron Corp    (COMMON STOCK)CVX185,046188,284
Reduced3,238
1.71%
Cisco Systems Inc    (COMMON STOCK)CSCO415,086422,350
Reduced7,264
1.71%
Ford Motor Co    (COMMON STOCK)F381,015387,683
Reduced6,668
1.71%
Bank of America Corp    (COMMON STOBAC792,120805,983
Reduced13,863
1.72%
Wells Fargo & Co    (COMMON STOCK)WFC376,579383,170
Reduced6,591
1.72%
US Bancorp    (COMMON STOCK)USB139,066141,500
Reduced2,434
1.72%
Regions Financial Corp    (COMMON SRF94,38496,036
Reduced1,652
1.72%
Citigroup Inc    (COMMON STOCK)C213,615217,354
Reduced3,739
1.72%
General Electric Co    (COMMON STOCGE854,465869,422
Reduced14,957
1.72%
KeyCorp    (COMMON STOCK)KEY96,31197,997
Reduced1,686
1.72%
Mondelez International Inc    (COMMMDLZ140,853143,319
Reduced2,466
1.72%
Hewlett Packard Enterprise Co    (CHPE126,568128,784
Reduced2,216
1.72%
MetLife Inc    (COMMON STOCK)MET76,45777,796
Reduced1,339
1.72%
Walgreens Boots Alliance Inc    (COWBA73,30274,586
Reduced1,284
1.72%
Boeing Co/The    (COMMON STOCK)BA52,82653,752
Reduced926
1.72%
NVIDIA Corp    (COMMON STOCK)NVDA61,21462,288
Reduced1,074
1.72%
Masco Corp    (COMMON STOCK)MAS28,34828,846
Reduced498
1.72%
Cerner Corp    (COMMON STOCK)CERN31,11031,657
Reduced547
1.72%
Principal Financial Group Inc    (CPFG25,03925,480
Reduced441
1.73%
Target Corp    (COMMON STOCK)TGT50,28651,173
Reduced887
1.73%
News Corp    (COMMON STOCK)NWSA37,90638,575
Reduced669
1.73%
Verisk Analytics Inc    (COMMON STOVRSK16,30416,592
Reduced288
1.73%
Ecolab Inc    (COMMON STOCK)ECL24,81325,252
Reduced439
1.73%
Eaton Corp PLC    (COMMON STOCK)ETN40,44341,159
Reduced716
1.73%
CH Robinson Worldwide Inc    (COMMOCHRW13,09613,328
Reduced232
1.74%
NRG Energy Inc    (COMMON STOCK)NRG24,93225,375
Reduced443
1.74%
Raytheon Technologies Corp    (COMMUTX80,31881,746
Reduced1,428
1.74%
Fiserv Inc    (COMMON STOCK)FISV57,05658,071
Reduced1,015
1.74%
Waste Management Inc    (COMMON STOWMI38,64839,339
Reduced691
1.75%
Air Products and Chemicals Inc    (APD22,00522,399
Reduced394
1.75%
DXC Technology Co    (COMMON STOCK)24,90025,347
Reduced447
1.76%
Take-Two Interactive Software Inc   &nbsTTWO11,24211,444
Reduced202
1.76%
Yum! Brands Inc    (COMMON STOCK)YUM30,10030,642
Reduced542
1.76%
General Dynamics Corp    (COMMON STGD22,91923,332
Reduced413
1.77%
Amazon.com Inc    (COMMON STOCK)AMZN41,65542,408
Reduced753
1.77%
WRKCo Inc    (COMMON STOCK)WRK25,07025,525
Reduced455
1.78%
Broadridge Financial Solutions Inc   &nbBR11,32111,527
Reduced206
1.78%
UnitedHealth Group Inc    (COMMON SUNH92,69994,387
Reduced1,688
1.78%
Lockheed Martin Corp    (COMMON STOLMT24,88725,341
Reduced454
1.79%
3M Co    (COMMON STOCK)MMM56,26557,293
Reduced1,028
1.79%
Raymond James Financial Inc    (COMRJF11,93212,151
Reduced219
1.80%
Electronic Arts Inc    (COMMON STOCERTS28,80829,337
Reduced529
1.80%
Adobe Inc    (COMMON STOCK)ADBE48,40349,292
Reduced889
1.80%
Thermo Fisher Scientific Inc    (COTMO40,08140,819
Reduced738
1.80%
Deere & Co    (COMMON STOCK)DE31,18231,758
Reduced576
1.81%
Snap-on Inc    (COMMON STOCK)SNA5,4115,511
Reduced100
1.81%
Chubb Ltd    (COMMON STOCK)CB44,31645,136
Reduced820
1.81%
Ball Corp    (COMMON STOCK)BLL32,39932,999
Reduced600
1.81%
Ross Stores Inc    (COMMON STOCK)ROST36,15036,821
Reduced671
1.82%
Zebra Technologies Corp    (COMMON ZBRA5,3865,486
Reduced100
1.82%
PNC Financial Services Group Inc/The   &PNC42,90943,706
Reduced797
1.82%
Leidos Holdings Inc    (COMMON STOCLDOS13,10413,348
Reduced244
1.82%
NetApp Inc    (COMMON STOCK)NTAP22,46422,883
Reduced419
1.83%
Franklin Resources Inc    (COMMON SBEN27,13027,637
Reduced507
1.83%
Sherwin-Williams Co/The    (COMMON SHW8,2988,454
Reduced156
1.84%
Unum Group    (COMMON STOCK)UNM19,97220,349
Reduced377
1.85%
Textron Inc    (COMMON STOCK)TXT22,14722,566
Reduced419
1.85%
Netflix Inc    (COMMON STOCK)NFLX43,79344,626
Reduced833
1.86%
International Flavors & Fragrances Inc   IFF10,46710,667
Reduced200
1.87%
Stryker Corp    (COMMON STOCK)SYK31,92332,533
Reduced610
1.87%
Norfolk Southern Corp    (COMMON STNSC25,74326,236
Reduced493
1.87%
Zions Bancorporation    (COMMON STOZION16,47216,788
Reduced316
1.88%
Alexion Pharmaceuticals Inc    (COMALXN21,82522,245
Reduced420
1.88%
Helmerich & Payne Inc    (COMMON STHP10,36510,565
Reduced200
1.89%
Copart Inc    (COMMON STOCK)CPRT20,36720,760
Reduced393
1.89%
Gap Inc/The    (COMMON STOCK)GPS20,65821,057
Reduced399
1.89%
CME Group Inc    (COMMON STOCK)CME35,45836,153
Reduced695
1.92%
Broadcom Inc    (COMMON STOCK)39,60040,379
Reduced779
1.92%
Dollar Tree Inc    (COMMON STOCK)DLTR23,05323,508
Reduced455
1.93%
Raytheon Co    (COMMON STOCK)RTN27,59328,138
Reduced545
1.93%
AMETEK Inc    (COMMON STOCK)AME22,68223,131
Reduced449
1.94%
United Continental Holdings Inc    UAL21,21721,637
Reduced420
1.94%
Allergan plc    (COMMON STOCK)AGN32,12832,767
Reduced639
1.95%
FedEx Corp    (COMMON STOCK)FDX23,42723,893
Reduced466
1.95%
Cooper Cos Inc/The    (COMMON STOCKCOO4,9955,095
Reduced100
1.96%
Sealed Air Corp    (COMMON STOCK)SEE14,93715,237
Reduced300
1.96%
BlackRock Inc    (COMMON STOCK)BLK11,69111,926
Reduced235
1.97%
TransDigm Group Inc    (COMMON STOCTDG4,9625,062
Reduced100
1.97%
PulteGroup Inc    (COMMON STOCK)PHM25,39725,911
Reduced514
1.98%
Kansas City Southern    (COMMON STOKSU9,87110,071
Reduced200
1.98%
Loews Corp    (COMMON STOCK)LTR24,85925,364
Reduced505
1.99%
Costco Wholesale Corp    (COMMON STCOST43,79544,690
Reduced895
2.00%
Microchip Technology Inc    (COMMONMCHP23,79624,284
Reduced488
2.00%
Norwegian Cruise Line Holdings Ltd   &nbNCLH20,60921,032
Reduced423
2.01%
CareTrust REIT Inc    (REIT)CTRE130,820133,520
Reduced2,700
2.02%
Xilinx Inc    (COMMON STOCK)XLNX24,77825,290
Reduced512
2.02%
Atmos Energy Corp    (COMMON STOCK)ATO11,60111,842
Reduced241
2.03%
ENTERGY CORP    (COMMON STOCK)ETR19,35619,759
Reduced403
2.03%
HollyFrontier Corp    (COMMON STOCKHFC14,39214,692
Reduced300
2.04%
Church & Dwight Co Inc    (COMMON SCHD24,16224,667
Reduced505
2.04%
CDW Corp/DE    (COMMON STOCK)CDW14,33814,638
Reduced300
2.04%
DENTSPLY SIRONA Inc    (COMMON STOC21,89222,351
Reduced459
2.05%
Akamai Technologies Inc    (COMMON AKAM15,93916,274
Reduced335
2.05%
Ralph Lauren Corp    (COMMON STOCK)RL4,7544,854
Reduced100
2.06%
Henry Schein Inc    (COMMON STOCK)HSIC14,25514,555
Reduced300
2.06%
Goldman Sachs Group Inc/The    (COMGS31,15731,814
Reduced657
2.06%
Incyte Corp    (COMMON STOCK)INCY17,74618,122
Reduced376
2.07%
Teleflex Inc    (COMMON STOCK)TFX4,6994,799
Reduced100
2.08%
Nasdaq Inc    (COMMON STOCK)NDAQ11,30611,547
Reduced241
2.08%
PPG Industries Inc    (COMMON STOCKPPG23,29523,792
Reduced497
2.08%
Kohl's Corp    (COMMON STOCK)KSS15,16315,487
Reduced324
2.09%
Lincoln National Corp    (COMMON STLNC19,17719,588
Reduced411
2.09%
H&R Block Inc    (COMMON STOCK)HRB18,99419,403
Reduced409
2.10%
Willis Towers Watson PLC    (COMMONWLTW12,74913,024
Reduced275
2.11%
Travelers Cos Inc/The    (COMMON STTRV25,19925,746
Reduced547
2.12%
Cboe Global Markets Inc    (COMMON CBOE11,00211,241
Reduced239
2.12%
Allegion PLC    (COMMON STOCK)ALLE9,1879,387
Reduced200
2.13%
Synopsys Inc    (COMMON STOCK)SNPS15,01015,338
Reduced328
2.13%
ETRADE Financial Corp    (COMMON STETFC21,94022,420
Reduced480
2.14%
Dollar General Corp    (COMMON STOCDG25,28925,848
Reduced559
2.16%
Expedia Group Inc    (COMMON STOCK)EXPE13,56313,863
Reduced300
2.16%
American Electric Power Co Inc    (AEP91,65393,685
Reduced2,032
2.16%
Best Buy Co Inc    (COMMON STOCK)BBY22,20722,700
Reduced493
2.17%
VeriSign Inc    (COMMON STOCK)VRSN10,21410,441
Reduced227
2.17%
Harley-Davidson Inc    (COMMON STOCHOG14,94015,273
Reduced333
2.18%
Fortinet Inc    (COMMON STOCK)FTNT13,99114,303
Reduced312
2.18%
Northern Trust Corp    (COMMON STOCNTRS20,63021,092
Reduced462
2.19%
ABIOMED Inc    (COMMON STOCK)ABMD4,4194,519
Reduced100
2.21%
AO Smith Corp    (COMMON STOCK)AOS13,25013,550
Reduced300
2.21%
WW Grainger Inc    (COMMON STOCK)GWW4,3194,419
Reduced100
2.26%
ANSYS Inc    (COMMON STOCK)ANSS8,4918,691
Reduced200
2.30%
MSCI Inc    (COMMON STOCK)MXB8,4578,657
Reduced200
2.31%
Gartner Inc    (COMMON STOCK)IT8,8359,044
Reduced209
2.31%
Hershey Co/The    (COMMON STOCK)HSY14,64014,987
Reduced347
2.31%
AvalonBay Communities Inc    (REIT)AVB146,787150,295
Reduced3,508
2.33%
Cintas Corp    (COMMON STOCK)CTAS8,3438,543
Reduced200
2.34%
Huntington Ingalls Industries Inc   &nbsHII4,1364,236
Reduced100
2.36%
Campbell Soup Co    (COMMON STOCK)CPB16,52916,929
Reduced400
2.36%
First Republic Bank/CA    (COMMON SFRC16,52916,929
Reduced400
2.36%
ServiceNow Inc    (COMMON STOCK)NOW18,85819,315
Reduced457
2.36%
Diamondback Energy Inc    (COMMON SFANG15,59115,991
Reduced400
2.50%
American Water Works Co Inc    (COMAWK17,78418,243
Reduced459
2.51%
Rockwell Automation Inc    (COMMON ROK11,42111,721
Reduced300
2.55%
Royal Caribbean Cruises Ltd    (COMRCL16,68917,137
Reduced448
2.61%
Cincinnati Financial Corp    (COMMOCINF14,86015,260
Reduced400
2.62%
Pinnacle West Capital Corp    (COMMPNW10,80611,106
Reduced300
2.70%
Tiffany & Co    (COMMON STOCK)TIF10,69010,990
Reduced300
2.72%
PVH Corp    (COMMON STOCK)PVH7,1087,308
Reduced200
2.73%
WR Berkley Corp    (COMMON STOCK)WRB14,00914,409
Reduced400
2.77%
Jack Henry & Associates Inc    (COMJKHY7,5217,736
Reduced215
2.77%
Comerica Inc    (COMMON STOCK)CMA13,94914,349
Reduced400
2.78%
IPG Photonics Corp    (COMMON STOCKIPGP3,4753,575
Reduced100
2.79%
Live Nation Entertainment Inc    (CLYV13,83314,233
Reduced400
2.81%
PerkinElmer Inc    (COMMON STOCK)PKI10,86011,179
Reduced319
2.85%
JM Smucker Co/The    (COMMON STOCK)SJM10,96611,302
Reduced336
2.97%
Quest Diagnostics Inc    (COMMON STDGX13,01113,411
Reduced400
2.98%
Wynn Resorts Ltd    (COMMON STOCK)WYNN9,5499,854
Reduced305
3.09%
Packaging Corp of America    (COMMOPKG9,1439,443
Reduced300
3.17%
Duke Energy Corp    (COMMON STOCK)DUK89,79892,763
Reduced2,965
3.19%
Varian Medical Systems Inc    (COMMVAR8,9209,220
Reduced300
3.25%
Celanese Corp    (COMMON STOCK)CE11,88812,288
Reduced400
3.25%
Assurant Inc    (COMMON STOCK)AIZ5,8496,049
Reduced200
3.30%
JB Hunt Transport Services Inc    (JBHT8,2058,505
Reduced300
3.52%
Avery Dennison Corp    (COMMON STOCAVY8,1718,471
Reduced300
3.54%
Chipotle Mexican Grill Inc    (COMMCMG2,6132,713
Reduced100
3.68%
AES Corp/The    (COMMON STOCK)AES241,017250,350
Reduced9,333
3.72%
Universal Health Services Inc    (CUHS7,7468,046
Reduced300
3.72%
Nordstrom Inc    (COMMON STOCK)JWN10,24010,640
Reduced400
3.75%
Ulta Beauty Inc    (COMMON STOCK)ULTA5,6415,862
Reduced221
3.77%
SVB Financial Group    (COMMON STOCSIVB5,1005,300
Reduced200
3.77%
National Health Investors Inc    (RNHI27,80629,206
Reduced1,400
4.79%
Regency Centers Corp    (REIT)REG163,109171,426
Reduced8,317
4.85%
Alliance Data Systems Corp    (COMMADS3,8144,014
Reduced200
4.98%
Mohawk Industries Inc    (COMMON STMHK5,6475,947
Reduced300
5.04%
Blackstone Mortgage Trust Inc    (RBXMT72,59276,592
Reduced4,000
5.22%
Dominion Energy Inc    (COMMON STOCD113,135119,772
Reduced6,637
5.54%
Ligand Pharmaceuticals Inc    (COMMLGND1,7031,803
Reduced100
5.54%
Omega Healthcare Investors Inc    (OHI327,577347,077
Reduced19,500
5.61%
CubeSmart    (REIT)CUBE191,426204,396
Reduced12,970
6.34%
Synchrony Financial    (COMMON STOCSYF56,45160,479
Reduced4,028
6.66%
Toll Brothers Inc    (COMMON STOCK)TOL12,37313,263
Reduced890
6.71%
Domino's Pizza Inc    (COMMON STOCKDPZ3,9834,278
Reduced295
6.89%
Morgan Stanley    (COMMON STOCK)MS113,922122,468
Reduced8,546
6.97%
Trane Technologies plc    (COMMON S23,65925,441
Reduced1,782
7.00%
PS Business Parks Inc    (PUBLIC)51,70055,882
Reduced4,182
7.48%
Apartment Investment & Management Co   &247,820268,650
Reduced20,830
7.75%
Citrix Systems Inc    (COMMON STOCKCTXS11,32012,290
Reduced970
7.89%
DuPont de Nemours Inc    (COMMON ST72,40578,761
Reduced6,356
8.06%
Simon Property Group Inc    (REIT)SPG214,348233,318
Reduced18,970
8.13%
Adient PLC    (COMMON STOCK)8,9329,770
Reduced838
8.57%
Duke Realty Corp    (REIT)DRE756,300830,219
Reduced73,919
8.90%
STAG Industrial Inc    (REIT)STAG187,009206,309
Reduced19,300
9.35%
Garmin Ltd    (COMMON STOCK)14,32115,975
Reduced1,654
10.35%
Energy Transfer LP    (MLP)ETE367,946411,746
Reduced43,800
10.63%
McKesson Corp    (COMMON STOCK)MCK15,95917,979
Reduced2,020
11.23%
QTS Realty Trust Inc    (REIT)QTS262,635298,285
Reduced35,650
11.95%
NextEra Energy Partners LP    (LTD NEP40,78846,400
Reduced5,612
12.09%
Navient Corp    (COMMON STOCK)NAVI17,49819,968
Reduced2,470
12.36%
Weingarten Realty Investors    (REIWRI261,424300,725
Reduced39,301
13.06%
Retail Opportunity Investments Corp   &nROIC76,20087,700
Reduced11,500
13.11%
iShares S&P 500 Growth ETF    (ETF)IVW41,90049,100
Reduced7,200
14.66%
nVent Electric PLC    (COMMON STOCK15,97518,909
Reduced2,934
15.51%
Kinder Morgan Inc    (MLP)KMI285,248340,532
Reduced55,284
16.23%
American Homes 4 Rent    (REIT)AMH629,538761,283
Reduced131,745
17.30%
TCF Financial Corp    (COMMON STOCK15,74919,165
Reduced3,416
17.82%
TE Connectivity Ltd    (COMMON STOC32,99140,335
Reduced7,344
18.20%
Digital Realty Trust Inc    (REIT)DLR249,487307,475
Reduced57,988
18.85%
Coresite Realty Corp    (REIT)COR19,14524,045
Reduced4,900
20.37%
Physicians Realty Trust    (REIT)DOC359,204465,704
Reduced106,500
22.86%
FirstEnergy Corp    (COMMON STOCK)FE86,009112,847
Reduced26,838
23.78%
iShares S&P 500 Value ETF    (ETF)IVE34,50045,500
Reduced11,000
24.17%
Plains All American Pipeline LP    PAA162,798229,898
Reduced67,100
29.18%
Rexford Industrial Realty Inc    (P45,40064,600
Reduced19,200
29.72%
Host Hotels & Resorts Inc    (REIT)HST820,9341,227,413
Reduced406,479
33.11%
Sabra Health Care REIT Inc    (REITSBRA50,85676,356
Reduced25,500
33.39%
American Campus Communities Inc    ACC76,406115,106
Reduced38,700
33.62%
Crown Castle International Corp    CCI110,628172,978
Reduced62,350
36.04%
Hubbell Inc    (COMMON STOCK)5,5449,003
Reduced3,459
38.42%
LyondellBasell Industries NV    (CO24,98841,616
Reduced16,628
39.95%
Sun Communities Inc    (REIT)SUI77,087131,941
Reduced54,854
41.57%
Duke Energy Corp    (PUBLIC)41,80073,586
Reduced31,786
43.19%
Life Storage Inc    (REIT)LSI11,23319,933
Reduced8,700
43.64%
Service Properties Trust    (REIT)114,172207,883
Reduced93,711
45.07%
MPLX LP    (MLP)MPLX70,059128,359
Reduced58,300
45.41%
Ingersoll Rand Inc    (COMMON STOCK33,70562,600
Reduced28,895
46.15%
Starwood Property Trust Inc    (REISTWD61,325114,100
Reduced52,775
46.25%
Pennsylvania Real Estate Investment Trust  &n45,61890,000
Reduced44,382
49.31%
WEC Energy Group Inc    (COMMON STO30,77164,155
Reduced33,384
52.03%
Federal Realty Investment Trust    FRT6,79615,196
Reduced8,400
55.27%
CenterPoint Energy Inc    (COMMON SCNP48,997110,942
Reduced61,945
55.83%
Getty Realty Corp    (REIT)GTY20,17045,770
Reduced25,600
55.93%
LiveRamp Holdings Inc    (COMMON ST6,91715,977
Reduced9,060
56.70%
STAG Industrial Inc    (PUBLIC)17,43640,897
Reduced23,461
57.36%
Ladder Capital Corp    (REIT)LADR28,30067,100
Reduced38,800
57.82%
Saul Centers Inc    (PUBLIC)54,000131,172
Reduced77,172
58.83%
Park Hotels & Resorts Inc    (REIT)24,57565,318
Reduced40,743
62.37%
STERIS PLC    (COMMON STOCK)8,43323,115
Reduced14,682
63.51%
Essential Utilities Inc    (COMMON 22,15865,391
Reduced43,233
66.11%
SL Green Realty Corp    (REIT)SLG7,87424,796
Reduced16,922
68.24%
Marriott International Inc/MD    (CMAR27,05187,143
Reduced60,092
68.95%
Sprague Resources LP    (MLP)SRLP18,24363,343
Reduced45,100
71.19%
Vornado Realty Trust    (REIT)VNO15,37560,170
Reduced44,795
74.44%
SBA Communications Corp    (REIT)11,28945,000
Reduced33,711
74.91%
Lamb Weston Holdings Inc    (COMMON14,32357,783
Reduced43,460
75.21%
Digital Realty Trust Inc    (PUBLIC3,30213,402
Reduced10,100
75.36%
IQVIA Holdings Inc    (COMMON STOCK17,97976,977
Reduced58,998
76.64%
SolarEdge Technologies Inc    (COMM4,97021,285
Reduced16,315
76.65%
Resideo Technologies Inc    (COMMON12,60854,000
Reduced41,392
76.65%
Capri Holdings Ltd    (COMMON STOCK14,65864,000
Reduced49,342
77.09%
Nielsen Holdings PLC    (COMMON STO34,646161,298
Reduced126,652
78.52%
Invesco S&P 500 Low Volatility ETF   &nb187,041899,609
Reduced712,568
79.20%
O-I Glass Inc    (COMMON STOCK)15,97780,200
Reduced64,223
80.07%
VanEck Vectors Fallen Angel High Yield Bond ETF &n5,55031,248
Reduced25,698
82.23%
RH    (COMMON STOCK)1,67811,589
Reduced9,911
85.52%
Delphi Technologies PLC    (COMMON 8,83676,799
Reduced67,963
88.49%
ITT Inc    (COMMON STOCK)9,00381,845
Reduced72,842
88.99%
WW International Inc    (COMMON STO4,71754,360
Reduced49,643
91.32%
Spire Inc    (COMMON STOCK)5,17162,200
Reduced57,029
91.68%
RenaissanceRe Holdings Ltd    (COMM4,58156,100
Reduced51,519
91.83%
Pebblebrook Hotel Trust    (REIT)PEB13,411165,664
Reduced152,253
91.90%
Investors Real Estate Trust    (REI5,70083,065
Reduced77,365
93.13%
EPR Properties    (REIT)EPR8,046145,325
Reduced137,279
94.46%
Penumbra Inc    (COMMON STOCK)3,32061,000
Reduced57,680
94.55%
Everest Re Group Ltd    (COMMON STO4,04775,343
Reduced71,296
94.62%
Douglas Emmett Inc    (REIT)DEI16,921344,092
Reduced327,171
95.08%
Syneos Health Inc    (COMMON STOCK)6,341133,302
Reduced126,961
95.24%
Macerich Co/The    (REIT)MAC11,311280,939
Reduced269,628
95.97%
JBG SMITH Properties    (REIT)12,117400,000
Reduced387,883
96.97%
Ingevity Corp    (COMMON STOCK)4,242187,041
Reduced182,799
97.73%
Under Armour Inc    (COMMON STOCK)18,9411,091,687
Reduced1,072,746
98.26%
Tapestry Inc    (COMMON STOCK)26,9271,557,823
Reduced1,530,896
98.27%
FirstCash Inc    (COMMON STOCK)4,357325,165
Reduced320,808
98.66%
Ollie's Bargain Outlet Holdings Inc   &n5,573506,275
Reduced500,702
98.89%
Globe Life Inc    (COMMON STOCK)9,5982,000,000
Reduced1,990,402
99.52%
Green Dot Corp    (COMMON STOCK)GDOT04,846
Sold Out
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Alexander & Baldwin Inc    (COMMON ALEX06,945
Sold Out
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Acadia Realty Trust    (REIT)AKR031,000
Sold Out
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Aqua America Inc    (COMMON STOCK)WTR022,158
Sold Out
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PBF Logistics LP    (MLP)PBFX056,508
Sold Out
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City Office REIT Inc    (REIT)CIO018,499
Sold Out
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LTC Properties Inc    (REIT)LTC011,604
Sold Out
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Covanta Holding Corp    (COMMON STOCVA058,000
Sold Out
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WellCare Health Plans Inc    (COMMOWCG05,060
Sold Out
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Chesapeake Energy Corp    (COMMON SCHK0120,370
Sold Out
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Tanger Factory Outlet Centers Inc   &nbsSKT09,536
Sold Out
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Liberty Property Trust    (REIT)LRY016,197
Sold Out
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Diversified Healthcare Trust    (RESNH024,423
Sold Out
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