
MANULIFE INVESTMENT MANAGEMENT (US) LLC
Latest 13F filing data - Q1 2013
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | AON | 162K | $9.94K |
![]() | L | 160K | $7.07K |
![]() | MD | 160K | $14.37K |
![]() | TSN | 160K | $3.96K |
![]() | ADI | 159K | $7.40K |
![]() | STLD | 158K | $2.51K |
![]() | CBRE | 158K | $3.98K |
![]() | BGS | 157K | $4.79K |
![]() | VRTX | 157K | $8.61K |
![]() | CTSH | 156K | $11.99K |
![]() | EA | 155K | $2.75K |
![]() | VTR | 155K | $11.31K |
![]() | SFST | 154K | $1.61K |
![]() | NYT | 152K | $1.49K |
![]() | FIS | 152K | $6.02K |
![]() | SCI | 152K | $2.54K |
![]() | SMBC | 150K | $3.82K |
![]() | NWL | 149K | $3.88K |
![]() | FAST | 148K | $7.62K |
![]() | CI | 148K | $9.25K |

Aon plc
AON
Shares Held
162K
Value
$9.94K

Loews Corporation
L
Shares Held
160K
Value
$7.07K

Pediatrix Medical Group, Inc.
MD
Shares Held
160K
Value
$14.37K

Tyson Foods, Inc.
TSN
Shares Held
160K
Value
$3.96K

Analog Devices, Inc.
ADI
Shares Held
159K
Value
$7.40K

Steel Dynamics, Inc.
STLD
Shares Held
158K
Value
$2.51K

CBRE Group, Inc.
CBRE
Shares Held
158K
Value
$3.98K

B&G Foods, Inc.
BGS
Shares Held
157K
Value
$4.79K

Vertex Pharmaceuticals Incorporated
VRTX
Shares Held
157K
Value
$8.61K

Cognizant Technology Solutions Corporation
CTSH
Shares Held
156K
Value
$11.99K

Electronic Arts Inc.
EA
Shares Held
155K
Value
$2.75K

Ventas, Inc.
VTR
Shares Held
155K
Value
$11.31K

Southern First Bancshares, Inc.
SFST
Shares Held
154K
Value
$1.61K

The New York Times Company
NYT
Shares Held
152K
Value
$1.49K

Fidelity National Information Services, Inc.
FIS
Shares Held
152K
Value
$6.02K

Service Corporation International
SCI
Shares Held
152K
Value
$2.54K

Southern Missouri Bancorp, Inc.
SMBC
Shares Held
150K
Value
$3.82K

Newell Brands Inc.
NWL
Shares Held
149K
Value
$3.88K

Fastenal Company
FAST
Shares Held
148K
Value
$7.62K

Cigna Corporation
CI
Shares Held
148K
Value
$9.25K
