CONTINENTAL RESOURCES INC/OK $952,690,935 8,882,071 933,134
MICHAEL KORS HOLDINGS LTD COM $950,293,795 12,752,198 615,867
ACCENTURE PLC CL A $948,638,065 12,882,103 (13,018,233)
HSBC HOLDINGS PLC ADR $941,502,808 17,351,692 (211,730)
TARGET CORP COM $932,641,131 14,577,073 (81,869)
3M CO COM $929,269,159 7,782,172 (3,447,329)
EASTMAN CHEMICAL CO COM $928,371,458 11,917,477 (786,564)
TRAVELERS COS INC CL A $926,212,448 10,926,182 (112,110)
ROCK TENN CO CL A $916,008,721 9,045,213 919,927
WILLIAMS COMPANIES INC COM $913,208,961 25,115,758 (4,727,309)
CONCUR TECHNOLOGIES INC COM $905,598,883 8,195,465 1,718,958
ECOLAB INC COM $897,797,137 9,090,696 (2,202,963)
PERRIGO CO COM $889,314,033 7,207,927 3,084,546
HERBALIFE LTD COM $885,679,288 12,694,271 (2,620,002)
VERISK ANALYTICS INC CL A $882,420,343 13,584,057 4,627,601
EMC CORP/MA COM $868,626,260 33,983,813 757,549
M&T BANK CORP COM $861,399,779 7,696,567 (723,442)
W W GRAINGER INC COM $858,669,463 3,280,996 (111,879)
PEPSICO INC COM $839,342,636 10,557,769 (2,743,588)
WORKDAY INC CL A $838,256,026 10,357,791 2,212,706
THERMO FISHER SC (ELECTRON) IN $837,804,763 9,091,750 1,454,029
AMERIPRISE FINANCIAL INC COM $836,970,006 9,189,394 (135,802)
BOEING CO COM $833,923,468 7,097,221 337,789
PUBLIC STORAGE INC COM $830,716,847 5,174,194 (2,982,090)
SPDR S&P 500 ETF TRUST UNIT S $819,364,441 4,876,879 98,005
VENTAS INC COM $795,406,560 12,933,440 (6,686,470)
INGERSOLL RAND PLC ORD $789,744,561 12,161,142 786,963
WELLPOINT INC COM $786,493,184 9,406,688 (3,171,418)
DELPHI AUTOMOTIVE PLC COM $781,137,208 13,371,058 (137,396)
APACHE CORP COM $778,614,495 9,145,108 1,493,437
BUNGE LTD COM $776,126,006 10,224,292 73,868
CHARLES SCHWAB CORP COM $775,271,173 36,673,187 5,272,550
AETNA INC COM $772,162,633 12,061,272 (1,748,167)
CIGNA CORP COM $772,007,281 10,044,331 (2,266,105)
METTLER TOLEDO INTERNATIONAL $768,821,480 3,202,222 (36,349)
COOPER COMPANIES INC COM $763,572,960 5,887,678 (422,083)
LIBERTY INTERACTIVE CORP INT $760,952,343 32,422,341 1,294,534
FORD MOTOR CO COM $759,452,209 45,017,914 (4,686,198)
GILDAN ACTIVEWEAR INC COM $758,402,120 16,330,795 632,100
ELECTRONIC ARTS INC COM $754,638,004 29,535,734 2,221,992
NXP SEMICONDUCTORS NV COM $750,615,153 20,172,404 2,274,762
DUNKIN BRANDS GROUP INC COM $744,505,637 16,449,528 0
AT&T INC COM $739,351,973 21,861,383 1,785,277
CANADIAN NATURAL RESOURCES LTD $734,776,569 23,370,756 1,229,222
ACTIVISION BLIZZARD INC COM $734,483,634 44,033,791 2,850,652
PROLOGIS INC COM $715,821,359 19,027,681 (4,466,208)
LAS VEGAS SANDS CORP COM $713,998,063 10,749,745 1,881,149
CBS CORP CL B $712,812,602 12,922,636 659,038
STAPLES INC COM $710,920,872 48,527,022 (711,241)
MCKESSON CORP COM $708,762,173 5,524,257 (3,608,416)
NCR CORP COM $707,464,585 17,860,757 3,580,881
RED HAT INC COM $703,248,670 15,241,627 (2,262,074)
JUNIPER NETWORKS INC COM $703,190,666 35,407,385 (13,463,769)
SEATTLE GENETICS INC COM $702,530,514 16,028,531 (2,161,310)
BROADCOM CORP CL A $698,218,338 26,833,910 (12,524,569)
NETSUITE INC COM $698,054,133 6,467,057 1,044,745
CREE INC COM $696,335,522 11,568,957 (735,856)
CELGENE CORP COM $692,484,364 4,492,655 (4,031,235)
BLACKSTONE GROUP LP UNIT $691,011,960 27,762,634 (2,101,290)
H&R BLOCK INC COM $682,267,071 25,591,413 4,947,465
MARSH & MCLENNAN COS INC COM $679,469,931 15,602,065 1,060,573
MARATHON OIL CORP COM $674,573,863 19,339,847 (2,096,766)
LIBERTY GLOBAL PLC CL A $668,325,137 8,422,497 3,423,341
ILLINOIS TOOL WORKS INC COM $665,076,536 8,720,028 (1,994,521)
PVH CORP COM $660,009,572 5,560,785 (2,071,759)
MEAD JOHNSON NUTRITION CO COM $653,848,087 8,804,849 (1,297,604)
HENRY SCHEIN INC COM $646,163,644 6,227,183 486,473
SPLUNK INC COM $645,095,937 10,744,436 2,135,683
UNITED CONTINENTAL HOLDINGS IN $644,517,188 20,987,209 2,726,797
ROPER INDUSTRIES INC COM $641,703,504 4,829,559 520,633
COMCAST CORP CL A SPECIAL NVT $638,622,966 14,731,787 (3,224,924)
RACKSPACE HOSTING INC COM $636,088,647 12,056,267 1,215,543
CONCHO RESOURCES INC COM $634,943,345 5,835,340 (73,486)
DELTA AIR LINES INC COM $628,917,232 26,660,332 (4,298,391)
ENSCO PLC CL A $628,362,440 11,690,464 (4,976,821)
FLEETCOR TECHNOLOGIES INC COM $628,186,409 5,702,491 (319,026)
* New holding 13F data provided by: FactSet Research Systems
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