
EDGE ASSET MANAGEMENT, INC
Latest 13F filing data - Q1 2017
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | FNF | 7.52M | $292.81M |
![]() | MPW | 6.55M | $84.38M |
![]() | KR | 5.92M | $174.45M |
![]() | NLY | 5.72M | $63.55M |
![]() | EPD | 5.25M | $145.01M |
![]() | HST | 4.74M | $88.44M |
![]() | SIRI | 4.53M | $23.32M |
![]() | ARCC | 3.51M | $61.08M |
![]() | USB | 3.30M | $169.85M |
![]() | PFE | 3.28M | $112.13M |
![]() | OHI | 3.02M | $99.47M |
![]() | XEL | 2.95M | $130.99M |
![]() | MPC | 2.92M | $147.66M |
![]() | TSM | 2.88M | $94.53M |
![]() | WFC | 2.84M | $157.96M |
![]() | MCHP | 2.58M | $190.24M |
![]() | VZ | 2.43M | $118.40M |
![]() | WTI | 2.43M | $6.72M |
![]() | JPM | 2.41M | $211.99M |
![]() | BGS | 2.40M | $96.50M |

Fidelity National Financial, Inc.
FNF
Shares Held
7.52M
Value
$292.81M

Medical Properties Trust, Inc.
MPW
Shares Held
6.55M
Value
$84.38M

The Kroger Co.
KR
Shares Held
5.92M
Value
$174.45M

Annaly Capital Management, Inc.
NLY
Shares Held
5.72M
Value
$63.55M

Enterprise Products Partners L.P.
EPD
Shares Held
5.25M
Value
$145.01M

Host Hotels & Resorts, Inc.
HST
Shares Held
4.74M
Value
$88.44M

Sirius XM Holdings Inc.
SIRI
Shares Held
4.53M
Value
$23.32M

Ares Capital Corporation
ARCC
Shares Held
3.51M
Value
$61.08M

U.S. Bancorp
USB
Shares Held
3.30M
Value
$169.85M

Pfizer Inc.
PFE
Shares Held
3.28M
Value
$112.13M

Omega Healthcare Investors, Inc.
OHI
Shares Held
3.02M
Value
$99.47M

Xcel Energy Inc.
XEL
Shares Held
2.95M
Value
$130.99M

Marathon Petroleum Corporation
MPC
Shares Held
2.92M
Value
$147.66M

Taiwan Semiconductor Manufacturing Company Limited
TSM
Shares Held
2.88M
Value
$94.53M

Wells Fargo & Company
WFC
Shares Held
2.84M
Value
$157.96M

Microchip Technology Incorporated
MCHP
Shares Held
2.58M
Value
$190.24M

Verizon Communications Inc.
VZ
Shares Held
2.43M
Value
$118.40M

W&T Offshore, Inc.
WTI
Shares Held
2.43M
Value
$6.72M

JPMorgan Chase & Co.
JPM
Shares Held
2.41M
Value
$211.99M

B&G Foods, Inc.
BGS
Shares Held
2.40M
Value
$96.50M
