HoldingsChannel.com
Securian Asset Management Inc Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
iShares Edge MSCI Min Vol USA ETF (USMV) 2,061,661 UNCH $132,152
     USMV2,061,661UNCH$132,152
Microsoft Corp 798,293 -9,351 $110,987
     MSFT798,293-9,351$110,987
iShares Core High Dividend ETF (HDV) 1,173,824 +29,375 $110,527
     HDV1,173,824+29,375$110,527
iShares Edge MSCI Min Vol EAFE ETF (EFAV) 1,465,212 +27,400 $107,371
     EFAV1,465,212+27,400$107,371
Apple Inc 435,073 -16,136 $97,443
     AAPL435,073-16,136$97,443
Amazon.com Inc 43,464 -234 $75,450
     AMZN43,464-234$75,450
Equinix Inc 82,753 -9,500 $47,732
     EQIX82,753-9,500$47,732
Facebook Inc 251,564 -1,671 $44,799
     FB251,564-1,671$44,799
Digital Realty Trust Inc      $42,841
     DLR327,223+24,482$42,476
     DLR.PRI14,102-1,397$365
Prologis Inc 499,983 -46,867 $42,608
     PLD499,983-46,867$42,608
Berkshire Hathaway Inc      $42,209
     BRK.B202,909+869$42,209
AvalonBay Communities Inc 180,576 -51,530 $38,883
     AVB180,576-51,530$38,883
Alphabet Inc 31,625 -711 $38,551
     GOOG31,625-711$38,551
JPMorgan Chase & Co 327,478 -7,387 $38,541
     JPM327,478-7,387$38,541
Alphabet Inc 31,365 -271 $38,301
     GOOGL31,365-271$38,301
Johnson & Johnson 273,581 -3,998 $35,396
     JNJ273,581-3,998$35,396
Simon Property Group Inc 211,553 -60,600 $32,928
     SPG211,553-60,600$32,928
Alexandria Real Estate Equities Inc 210,096 +31,200 $32,363
     ARE210,096+31,200$32,363
Duke Realty Corp 949,941 +78,600 $32,270
     DRE949,941+78,600$32,270
Procter & Gamble Co The 259,292 -2,737 $32,251
     PG259,292-2,737$32,251
Welltower Inc 347,797 -32,962 $31,527
     WELL347,797-32,962$31,527
Public Storage      $31,096
     PSA110,158+16,000$27,018
     PSA.PRI90,000+90,000$2,363
     PSA.PRH61,000-10,000$1,715
Visa Inc 180,547 -2,763 $31,056
     V180,547-2,763$31,056
Exxon Mobil Corp 438,407 -3,341 $30,956
     XOM438,407-3,341$30,956
HCP Inc 860,133 -29,263 $30,647
     HCP860,133-29,263$30,647
iShares Short Maturity Bond ETF (NEAR) 608,770 +55,620 $30,645
     NEAR608,770+55,620$30,645
iShares Core S&P 500 ETF (IVV) 100,486 UNCH $29,997
     IVV100,486UNCH$29,997
AT&T Inc 748,362 -4,959 $28,318
     T748,362-4,959$28,318
Verizon Communications Inc 467,545 -2,028 $28,221
     VZ467,545-2,028$28,221
Home Depot Inc The 113,238 -1,510 $26,273
     HD113,238-1,510$26,273
Ventas Inc 352,915 +4,979 $25,773
     VTR352,915+4,979$25,773
VICI Properties Inc 1,132,787 +143,790 $25,658
     VICI1,132,787+143,790$25,658
Bank of America Corp      $25,541
     BAC857,999-54,799$25,028
     BAC.PRN20,000+20,000$513
Mastercard Inc 93,351 -1,414 $25,351
     MA93,351-1,414$25,351
Sun Communities Inc 166,311 -18,100 $24,689
     SUI166,311-18,100$24,689
TWDC Enterprises 18 Corp 186,625 +4,297 $24,321
     DIS186,625+4,297$24,321
iShares Edge MSCI Min Vol Emerging Markets ETF (EEMV) 415,771 +14,900 $23,736
     EEMV415,771+14,900$23,736
Intel Corp 460,057 -8,466 $23,707
     INTC460,057-8,466$23,707
Chevron Corp 194,375 -2,178 $23,053
     CVX194,375-2,178$23,053
Equity Residential 266,594 -47,486 $22,997
     EQR266,594-47,486$22,997
Essex Property Trust Inc 69,668 -6,300 $22,757
     ESS69,668-6,300$22,757
Merck & Co Inc 267,641 -3,667 $22,530
     MRK267,641-3,667$22,530
CISCO SYSTEMS INC 443,872 -7,328 $21,932
     CSCO443,872-7,328$21,932
Coca Cola Co The 398,416 -2,105 $21,690
     KO398,416-2,105$21,690
Boeing Co The 55,983 +740 $21,300
     BA55,983+740$21,300
Comcast Corp 468,980 -2,991 $21,142
     CMCSA468,980-2,991$21,142
UnitedHealth Group Inc 97,042 -1,045 $21,089
     UNH97,042-1,045$21,089
Camden Property Trust 189,823 -34,543 $21,071
     CPT189,823-34,543$21,071
Pfizer Inc 578,242 -6,812 $20,776
     PFE578,242-6,812$20,776
Wells Fargo & Co 410,647 -6,895 $20,713
     WFC410,647-6,895$20,713

See Full List: All Stocks Held By Securian Asset Management Inc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Securian Asset Management Inc

Size ($ in 1000's)
At 09/30/2019: $4,361,077
At 06/30/2019: $4,316,087

Securian Asset Management Inc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Securian Asset Management Inc 13F filings. Link to 13F filings: SEC filings

Securian Asset Management Inc Top Holdings 13F Filings | www.HoldingsChannel.com

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