HoldingsChannel.com
Securian Asset Management Inc Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
iShares Edge MSCI Min Vol USA ETF (USMV) 2,061,661 -16,000 $127,266
     USMV2,061,661-16,000$127,266
Microsoft Corp 807,644 +5,632 $108,192
     MSFT807,644+5,632$108,192
iShares Core High Dividend ETF (HDV) 1,144,449 +22,150 $108,150
     HDV1,144,449+22,150$108,150
iShares Edge MSCI Min Vol EAFE ETF (EFAV) 1,437,812 +73,700 $104,443
     EFAV1,437,812+73,700$104,443
Apple Inc 451,209 -7,334 $89,303
     AAPL451,209-7,334$89,303
Amazon.com Inc 43,698 +545 $82,748
     AMZN43,698+545$82,748
Facebook Inc 253,235 +3,864 $48,874
     FB253,235+3,864$48,874
AvalonBay Communities Inc 232,106 +6,501 $47,158
     AVB232,106+6,501$47,158
Equinix Inc 92,253 -3,138 $46,523
     EQIX92,253-3,138$46,523
Prologis Inc 546,850 -57,526 $43,803
     PLD546,850-57,526$43,803
Simon Property Group Inc 272,153 -38,608 $43,478
     SPG272,153-38,608$43,478
Berkshire Hathaway Inc      $43,069
     BRK.B202,040+911$43,069
Johnson & Johnson 277,579 +1,548 $38,661
     JNJ277,579+1,548$38,661
JPMorgan Chase & Co 334,865 -332 $37,438
     JPM334,865-332$37,438
Digital Realty Trust Inc      $36,064
     DLR302,741+69,473$35,659
     DLR.PRI15,499-1,803$405
Alphabet Inc 32,336 +131 $34,952
     GOOG32,336+131$34,952
Boston Properties Inc 268,682 +13,948 $34,660
     BXP268,682+13,948$34,660
Alphabet Inc 31,636 +276 $34,255
     GOOGL31,636+276$34,255
Exxon Mobil Corp 441,748 +2,844 $33,851
     XOM441,748+2,844$33,851
Visa Inc 183,310 +356 $31,813
     V183,310+356$31,813
Welltower Inc 380,759 -19,352 $31,044
     WELL380,759-19,352$31,044
iShares Core S&P 500 ETF (IVV) 100,486 +20,400 $29,618
     IVV100,486+20,400$29,618
Procter & Gamble Co The 262,029 +2,938 $28,731
     PG262,029+2,938$28,731
HCP Inc 889,396 -120,849 $28,443
     HCP889,396-120,849$28,443
iShares Short Maturity Bond ETF (NEAR) 553,150 UNCH $27,840
     NEAR553,150UNCH$27,840
Duke Realty Corp 871,341 +52,035 $27,543
     DRE871,341+52,035$27,543
Verizon Communications Inc 469,573 +5,636 $26,827
     VZ469,573+5,636$26,827
Bank of America Corp 912,798 -6,794 $26,471
     BAC912,798-6,794$26,471
Host Hotels & Resorts Inc 1,416,270 +99,565 $25,805
     HST1,416,270+99,565$25,805
TWDC Enterprises 18 Corp 182,328 -3,187 $25,460
     DIS182,328-3,187$25,460
Pfizer Inc 585,054 +4,699 $25,345
     PFE585,054+4,699$25,345
AT&T Inc 753,321 +7,567 $25,244
     T753,321+7,567$25,244
Alexandria Real Estate Equities Inc 178,896 -105,094 $25,241
     ARE178,896-105,094$25,241
Mastercard Inc 94,765 +406 $25,068
     MA94,765+406$25,068
CISCO SYSTEMS INC 451,200 -8,962 $24,694
     CSCO451,200-8,962$24,694
Chevron Corp 196,553 +2,074 $24,459
     CVX196,553+2,074$24,459
Public Storage      $24,286
     PSA94,158-4,627$22,426
     PSA.PRH71,000UNCH$1,860
UnitedHealth Group Inc 98,087 -264 $23,934
     UNH98,087-264$23,934
Home Depot Inc The 114,748 -2,085 $23,864
     HD114,748-2,085$23,864
Equity Residential 314,080 +16,362 $23,845
     EQR314,080+16,362$23,845
Ventas Inc 347,936 -35,360 $23,782
     VTR347,936-35,360$23,782
Sun Communities Inc 184,411 -6,837 $23,640
     SUI184,411-6,837$23,640
iShares Edge MSCI Min Vol Emerging Markets ETF (EEMV) 400,871 +27,300 $23,595
     EEMV400,871+27,300$23,595
Camden Property Trust 224,366 -6,447 $23,421
     CPT224,366-6,447$23,421
Merck & Co Inc 271,308 +1,482 $22,749
     MRK271,308+1,482$22,749
Intel Corp 468,523 +1,674 $22,428
     INTC468,523+1,674$22,428
Essex Property Trust Inc 75,968 -2,300 $22,177
     ESS75,968-2,300$22,177
VICI Properties Inc 988,997 +742,797 $21,798
     VICI988,997+742,797$21,798
Coca Cola Co The 400,521 +2,296 $20,395
     KO400,521+2,296$20,395
Boeing Co The 55,243 +269 $20,109
     BA55,243+269$20,109

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 06/30/2019: $4,316,087
At 03/31/2019: $4,193,714

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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