Form f13t for CIK:1297731

Reported Date (DD.MM.YYYY) Issuer Name Value Thousands Sshprn Amount Sshprn Type Class Title Voting Authority Sole Voting Authority Shared Voting Authority None
07.01.2014 ABBOTT LABORATORIES 2781 72565 SH COMMON STOCK 0 0 72565
07.01.2014 ABBVIE INC 3832 72565 SH COMMON STOCK 0 0 72565
07.01.2014 ACCENTURE PLC-CL A 4300 52300 SH COMMON STOCK 0 0 52300
07.01.2014 AFLAC INC 2939 44000 SH COMMON STOCK 0 0 44000
07.01.2014 AGILENT TECHNOLOGIES INC 2339 40894 SH COMMON STOCK 0 0 40894
07.01.2014 AGREE REALTY CORP 384 13220 SH COMMON STOCK 0 0 13220
07.01.2014 AIRGAS INC 1566 14000 SH COMMON STOCK 0 0 14000
07.01.2014 ALEXANDRIA REAL ESTATE EQUIT 2583 40600 SH COMMON STOCK 0 0 40600
07.01.2014 ALTRIA GROUP INC 3640 94827 SH COMMON STOCK 0 0 94827
07.01.2014 AMERIPRISE FINANCIAL INC 1854 16115 SH COMMON STOCK 0 0 16115
07.01.2014 AMGEN INC 7524 65952 SH COMMON STOCK 0 0 65952
07.01.2014 ANADARKO PETROLEUM CORP 2380 30000 SH COMMON STOCK 0 0 30000
07.01.2014 APACHE CORP 2131 24801 SH COMMON STOCK 0 0 24801
07.01.2014 APCO OIL AND GAS INTL INC 117 7480 SH COMMON STOCK 0 0 7480
07.01.2014 APPLE INC 9222 16438 SH COMMON STOCK 0 0 16438
07.01.2014 APPLIED MATERIALS INC 2093 118378 SH COMMON STOCK 0 0 118378
07.01.2014 ARCHER-DANIELS-MIDLAND CO 4085 94115 SH COMMON STOCK 0 0 94115
07.01.2014 ASSOCIATED ESTATES REALTY CP 1517 94500 SH COMMON STOCK 0 0 94500
07.01.2014 AVALONBAY COMMUNITIES INC 3100 26220 SH COMMON STOCK 0 0 26220
07.01.2014 AVON PRODUCTS INC 661 38404 SH COMMON STOCK 0 0 38404
07.01.2014 BANK OF AMERICA CORP 2491 160000 SH COMMON STOCK 0 0 160000
07.01.2014 BANK OF NEW YORK MELLON CORP 3015 86302 SH COMMON STOCK 0 0 86302
07.01.2014 BAXTER INTERNATIONAL INC 1895 27250 SH COMMON STOCK 0 0 27250
07.01.2014 BIOGEN IDEC INC 10132 36242 SH COMMON STOCK 0 0 36242
07.01.2014 BIOMED REALTY TRUST INC 1595 88000 SH COMMON STOCK 0 0 88000
07.01.2014 BOSTON PROPERTIES INC 2049 20417 SH COMMON STOCK 0 0 20417
07.01.2014 BOSTON SCIENTIFIC CORP 1276 106179 SH COMMON STOCK 0 0 106179
07.01.2014 BRANDYWINE REALTY TRUST 1696 120400 SH COMMON STOCK 0 0 120400
07.01.2014 BRISTOL-MYERS SQUIBB CO 7385 138946 SH COMMON STOCK 0 0 138946
07.01.2014 CAMDEN PROPERTY TRUST 2473 43469 SH COMMON STOCK 0 0 43469
07.01.2014 CAMPBELL SOUP CO 3924 90662 SH COMMON STOCK 0 0 90662
07.01.2014 CARDINAL HEALTH INC 810 12128 SH COMMON STOCK 0 0 12128
07.01.2014 CARNIVAL CORP 1632 40634 SH COMMON STOCK 0 0 40634
07.01.2014 CATERPILLAR INC 3794 41784 SH COMMON STOCK 0 0 41784
07.01.2014 CBL and ASSOCIATES PROPERTIES 473 26362 SH COMMON STOCK 0 0 26362
07.01.2014 CELANESE CORP-SERIES A 2892 52280 SH COMMON STOCK 0 0 52280
07.01.2014 CF Industries Holdings INC 3263 14000 SH COMMON STOCK 0 0 14000
07.01.2014 CHESAPEAKE LODGING TRUST 2086 82500 SH COMMON STOCK 0 0 82500
07.01.2014 CISCO SYSTEMS INC 3146 140254 SH COMMON STOCK 0 0 140254
07.01.2014 CITIGROUP INC 3700 71000 SH COMMON STOCK 0 0 71000
07.01.2014 CLOROX COMPANY 1424 15349 SH COMMON STOCK 0 0 15349
07.01.2014 COACH INC 2694 48000 SH COMMON STOCK 0 0 48000
07.01.2014 COCA-COLA CO/THE 7122 172395 SH COMMON STOCK 0 0 172395
07.01.2014 COGNIZANT TECH SOLUTIONS-A 1919 19000 SH COMMON STOCK 0 0 19000
07.01.2014 COLGATE-PALMOLIVE CO 5021 77000 SH COMMON STOCK 0 0 77000
07.01.2014 COMCAST CORP-CLASS A 5752 115319 SH COMMON STOCK 0 0 115319
07.01.2014 CONOCOPHILLIPS 3751 53089 SH COMMON STOCK 0 0 53089
07.01.2014 CONSOL ENERGY INC 1618 42539 SH COMMON STOCK 0 0 42539
07.01.2014 COSTCO WHOLESALE CORP 3392 28500 SH COMMON STOCK 0 0 28500
07.01.2014 CVS CAREMARK CORP 4402 61500 SH COMMON STOCK 0 0 61500
07.01.2014 DCT INDUSTRIAL TRUST INC 657 92100 SH COMMON STOCK 0 0 92100
07.01.2014 DEERE and CO 3416 37408 SH COMMON STOCK 0 0 37408
07.01.2014 DELPHI AUTOMOTIVE PLC 3127 52000 SH COMMON STOCK 0 0 52000
07.01.2014 DEVON ENERGY CORPORATION 1798 29069 SH COMMON STOCK 0 0 29069
07.01.2014 DIAMOND OFFSHORE DRILLING 1032 18137 SH COMMON STOCK 0 0 18137
07.01.2014 DIAMONDROCK HOSPITALITY CO 464 40155 SH COMMON STOCK 0 0 40155
07.01.2014 DIGITAL REALTY TRUST INC 3655 74400 SH COMMON STOCK 0 0 74400
07.01.2014 DOLLAR TREE INC 2651 46984 SH COMMON STOCK 0 0 46984
07.01.2014 DOMINION RESOURCES INC/VA 1671 25827 SH COMMON STOCK 0 0 25827
07.01.2014 DOUGLAS EMMETT INC 682 29300 SH COMMON STOCK 0 0 29300
07.01.2014 DR PEPPER SNAPPLE GROUP INC 1710 35103 SH COMMON STOCK 0 0 35103
07.01.2014 DU PONT (E.I.) DE NEMOURS 1954 30073 SH COMMON STOCK 0 0 30073
07.01.2014 DUKE ENERGY CORP 651 9427 SH COMMON STOCK 0 0 9427
07.01.2014 DUKE REALTY CORP 1279 85024 SH COMMON STOCK 0 0 85024
07.01.2014 EASTGROUP PROPERTIES INC 597 10300 SH COMMON STOCK 0 0 10300
07.01.2014 EASTMAN CHEMICAL CO 4681 58000 SH COMMON STOCK 0 0 58000
07.01.2014 EBAY INC 4633 84452 SH COMMON STOCK 0 0 84452
07.01.2014 ECOLAB INC 2398 23000 SH COMMON STOCK 0 0 23000
07.01.2014 ELI LILLY and CO 3998 78388 SH COMMON STOCK 0 0 78388
07.01.2014 EMC CORP/MA 1539 61196 SH COMMON STOCK 0 0 61196
07.01.2014 EMERSON ELECTRIC CO 1782 25389 SH COMMON STOCK 0 0 25389
07.01.2014 EPR PROPERTIES 1819 37000 SH COMMON STOCK 0 0 37000
07.01.2014 EQUITY LIFESTYLE PROPERTIES 2427 67000 SH COMMON STOCK 0 0 67000
07.01.2014 EQUITY RESIDENTIAL 2794 53856 SH COMMON STOCK 0 0 53856
07.01.2014 ESSEX PROPERTY TRUST INC 718 5000 SH COMMON STOCK 0 0 5000
07.01.2014 ESTEE LAUDER COMPANIES-CL A 5509 73145 SH COMMON STOCK 0 0 73145
07.01.2014 EXELON CORP 965 35238 SH COMMON STOCK 0 0 35238
07.01.2014 EXXON MOBIL CORP 12650 125000 SH COMMON STOCK 0 0 125000
07.01.2014 FAIRPOINT COMMUNICATIONS INC 0 2870 SH COMMON STOCK 0 0 2870
07.01.2014 FEDERAL REALTY INVS TRUST 1062 10468 SH COMMON STOCK 0 0 10468
07.01.2014 FIRSTENERGY CORP 716 21711 SH COMMON STOCK 0 0 21711
07.01.2014 FMC CORP 3094 41000 SH COMMON STOCK 0 0 41000
07.01.2014 FOREST LABORATORIES INC 1514 25214 SH COMMON STOCK 0 0 25214
07.01.2014 GENERAL ELECTRIC CO 13119 468040 SH COMMON STOCK 0 0 468040
07.01.2014 GENERAL GROWTH PROPERTIES 1315 65500 SH COMMON STOCK 0 0 65500
07.01.2014 GENERAL MILLS INC 3828 76707 SH COMMON STOCK 0 0 76707
07.01.2014 GOOGLE INC-CL A 12991 11592 SH COMMON STOCK 0 0 11592
07.01.2014 GULFMARK OFFSHORE INC-CL A 820 17393 SH COMMON STOCK 0 0 17393
07.01.2014 HALLIBURTON CO 3715 73210 SH COMMON STOCK 0 0 73210
07.01.2014 HARLEY-DAVIDSON INC 1413 20411 SH COMMON STOCK 0 0 20411
07.01.2014 HCP INC 5063 139393 SH COMMON STOCK 0 0 139393
07.01.2014 HEALTH CARE REIT INC 2081 38853 SH COMMON STOCK 0 0 38853
07.01.2014 HEALTHCARE REALTY TRUST INC 590 27682 SH COMMON STOCK 0 0 27682
07.01.2014 HESS CORP 3053 36786 SH COMMON STOCK 0 0 36786
07.01.2014 HIGHWOODS PROPERTIES INC 1114 30802 SH COMMON STOCK 0 0 30802
07.01.2014 HOME DEPOT INC 7822 95000 SH COMMON STOCK 0 0 95000
07.01.2014 HOME PROPERTIES INC 2928 54600 SH COMMON STOCK 0 0 54600
07.01.2014 HOSPITALITY PROPERTIES TRUST 1985 73434 SH COMMON STOCK 0 0 73434
07.01.2014 HOST HOTELS and RESORTS INC 3839 197498 SH COMMON STOCK 0 0 197498
07.01.2014 INLAND REAL ESTATE CORP 1962 186500 SH COMMON STOCK 0 0 186500
07.01.2014 INTEL CORP 5343 205859 SH COMMON STOCK 0 0 205859
07.01.2014 INTERNATIONAL PAPER CO 923 18823 SH COMMON STOCK 0 0 18823
07.01.2014 INTL BUSINESS MACHINES CORP 10124 53975 SH COMMON STOCK 0 0 53975
07.01.2014 INVESCO LTD 1396 38345 SH COMMON STOCK 0 0 38345
07.01.2014 JOHNSON and JOHNSON 10398 113533 SH COMMON STOCK 0 0 113533
07.01.2014 JOY GLOBAL INC 1003 17144 SH COMMON STOCK 0 0 17144
07.01.2014 JPMORGAN CHASE and CO 8570 146551 SH COMMON STOCK 0 0 146551
07.01.2014 KELLOGG CO 2901 47500 SH COMMON STOCK 0 0 47500
07.01.2014 KIMBERLY-CLARK CORP 4006 38349 SH COMMON STOCK 0 0 38349
07.01.2014 KIMCO REALTY CORP 2542 128731 SH COMMON STOCK 0 0 128731
07.01.2014 KRAFT FOODS GROUP INC 1178 21850 SH COMMON STOCK 0 0 21850
07.01.2014 KROGER CO 4255 107649 SH COMMON STOCK 0 0 107649
07.01.2014 LASALLE HOTEL PROPERTIES 2009 65100 SH COMMON STOCK 0 0 65100
07.01.2014 LIBERTY PROPERTY TRUST 1595 47096 SH COMMON STOCK 0 0 47096
07.01.2014 MACERICH CO/THE 2297 39007 SH COMMON STOCK 0 0 39007
07.01.2014 MCCORMICK and CO-NON VTG SHRS 2895 42000 SH COMMON STOCK 0 0 42000
07.01.2014 MCDONALD'S CORP 6868 70783 SH COMMON STOCK 0 0 70783
07.01.2014 MCGRAW HILL FINANCIAL INC 4046 51734 SH COMMON STOCK 0 0 51734
07.01.2014 MCKESSON CORP 2585 16017 SH COMMON STOCK 0 0 16017
07.01.2014 MEAD JOHNSON NUTRITION CO 1239 14798 SH COMMON STOCK 0 0 14798
07.01.2014 MEADWESTVACO CORP 1536 41602 SH COMMON STOCK 0 0 41602
07.01.2014 MEDTRONIC INC 3884 67676 SH COMMON STOCK 0 0 67676
07.01.2014 MERCK and CO. INC. 8924 178298 SH COMMON STOCK 0 0 178298
07.01.2014 METLIFE INC 4771 88481 SH COMMON STOCK 0 0 88481
07.01.2014 MICROSOFT CORP 6919 184958 SH COMMON STOCK 0 0 184958
07.01.2014 MID-AMERICA APARTMENT COMM 2490 41000 SH COMMON STOCK 0 0 41000
07.01.2014 MONDELEZ INTERNATIONAL INC-A 2314 65551 SH COMMON STOCK 0 0 65551
07.01.2014 MONSANTO CO 4165 35736 SH COMMON STOCK 0 0 35736
07.01.2014 MOSAIC CO/THE 1296 27407 SH COMMON STOCK 0 0 27407
07.01.2014 NATIONAL OILWELL VARCO INC 4374 55000 SH COMMON STOCK 0 0 55000
07.01.2014 NEWMONT MINING CORP 919 39887 SH COMMON STOCK 0 0 39887
07.01.2014 NEXTERA ENERGY INC 4588 53584 SH COMMON STOCK 0 0 53584
07.01.2014 NOBLE ENERGY INC 3098 45490 SH COMMON STOCK 0 0 45490
07.01.2014 NORFOLK SOUTHERN CORP 2739 29507 SH COMMON STOCK 0 0 29507
07.01.2014 NU SKIN ENTERPRISES INC - A 4354 31500 SH COMMON STOCK 0 0 31500
07.01.2014 OMEGA HEALTHCARE INVESTORS 450 15100 SH COMMON STOCK 0 0 15100
07.01.2014 ORACLE CORP 8917 233063 SH COMMON STOCK 0 0 233063
07.01.2014 PEPSICO INC 8400 101276 SH COMMON STOCK 0 0 101276
07.01.2014 PETSMART INC 1019 14000 SH COMMON STOCK 0 0 14000
07.01.2014 PFIZER INC 10455 341338 SH COMMON STOCK 0 0 341338
07.01.2014 PHILIP MORRIS INTERNATIONAL 8273 94948 SH COMMON STOCK 0 0 94948
07.01.2014 PHILLIPS 66 2047 26545 SH COMMON STOCK 0 0 26545
07.01.2014 PNC FINANCIAL SERVICES GROUP 1862 24000 SH COMMON STOCK 0 0 24000
07.01.2014 PRAXAIR INC 1328 10214 SH COMMON STOCK 0 0 10214
07.01.2014 PRECISION CASTPARTS CORP 5359 19900 SH COMMON STOCK 0 0 19900
07.01.2014 PRICELINE.COM INC 3487 3000 SH COMMON STOCK 0 0 3000
07.01.2014 PROCTER and GAMBLE CO/THE 8259 101448 SH COMMON STOCK 0 0 101448
07.01.2014 PROLOGIS INC 496 13422 SH COMMON STOCK 0 0 13422
07.01.2014 PRUDENTIAL FINANCIAL INC 2350 25487 SH COMMON STOCK 0 0 25487
07.01.2014 PUBLIC STORAGE 4256 28274 SH COMMON STOCK 0 0 28274
07.01.2014 QUALCOMM INC 7663 103212 SH COMMON STOCK 0 0 103212
07.01.2014 QUANTA SERVICES INC 6877 217912 SH COMMON STOCK 0 0 217912
07.01.2014 RETAIL OPPORTUNITY INVESTMEN 1788 121500 SH COMMON STOCK 0 0 121500
07.01.2014 RLJ LODGING TRUST 2072 85200 SH COMMON STOCK 0 0 85200
07.01.2014 ROSS STORES INC 3259 43500 SH COMMON STOCK 0 0 43500
07.01.2014 SCHLUMBERGER LTD 6758 75000 SH COMMON STOCK 0 0 75000
07.01.2014 SELECT INCOME REIT 2174 81300 SH COMMON STOCK 0 0 81300
07.01.2014 SENIOR HOUSING PROP TRUST 1583 71200 SH COMMON STOCK 0 0 71200
07.01.2014 SIMON PROPERTY GROUP INC 11398 74908 SH COMMON STOCK 0 0 74908
07.01.2014 SL GREEN REALTY CORP 824 8923 SH COMMON STOCK 0 0 8923
07.01.2014 SOUTHERN CO/THE 3424 83300 SH COMMON STOCK 0 0 83300
07.01.2014 SPECTRA ENERGY CORP 544 15276 SH COMMON STOCK 0 0 15276
07.01.2014 ST JUDE MEDICAL INC 2025 32688 SH COMMON STOCK 0 0 32688
07.01.2014 STARBUCKS CORP 5481 69921 SH COMMON STOCK 0 0 69921
07.01.2014 STATE STREET CORP 1468 20000 SH COMMON STOCK 0 0 20000
07.01.2014 SUN COMMUNITIES INC 902 21153 SH COMMON STOCK 0 0 21153
07.01.2014 TANGER FACTORY OUTLET CENTER 1982 61900 SH COMMON STOCK 0 0 61900
07.01.2014 TARGET CORP 2882 45556 SH COMMON STOCK 0 0 45556
07.01.2014 TAUBMAN CENTERS INC 530 8296 SH COMMON STOCK 0 0 8296
07.01.2014 TIME WARNER CABLE 2940 21694 SH COMMON STOCK 0 0 21694
07.01.2014 TIME WARNER INC 6035 86566 SH COMMON STOCK 0 0 86566
07.01.2014 TRAVELERS COS INC/THE 3770 41636 SH COMMON STOCK 0 0 41636
07.01.2014 UDR INC 2729 116867 SH COMMON STOCK 0 0 116867
07.01.2014 UNION PACIFIC CORP 4368 26000 SH COMMON STOCK 0 0 26000
07.01.2014 UNITED PARCEL SERVICE-CL B 3389 32249 SH COMMON STOCK 0 0 32249
07.01.2014 UNITED TECHNOLOGIES CORP 7252 63725 SH COMMON STOCK 0 0 63725
07.01.2014 UNITEDHEALTH GROUP INC 1865 24767 SH COMMON STOCK 0 0 24767
07.01.2014 US BANCORP 2563 63450 SH COMMON STOCK 0 0 63450
07.01.2014 VENTAS INC 4341 75782 SH COMMON STOCK 0 0 75782
07.01.2014 VF CORP 2992 48000 SH COMMON STOCK 0 0 48000
07.01.2014 VIACOM INC-CLASS B 1876 21479 SH COMMON STOCK 0 0 21479
07.01.2014 VORNADO REALTY TRUST 2820 31765 SH COMMON STOCK 0 0 31765
07.01.2014 WALT DISNEY CO/THE 4635 60672 SH COMMON STOCK 0 0 60672
07.01.2014 WASTE MANAGEMENT INC 2541 56626 SH COMMON STOCK 0 0 56626
07.01.2014 WEINGARTEN REALTY INVESTORS 1654 60336 SH COMMON STOCK 0 0 60336
07.01.2014 WELLPOINT INC 2313 25038 SH COMMON STOCK 0 0 25038
07.01.2014 WELLS FARGO and CO 10507 231435 SH COMMON STOCK 0 0 231435
07.01.2014 WESTERN UNION CO 1529 88615 SH COMMON STOCK 0 0 88615
07.01.2014 WEYERHAEUSER CO 3643 115409 SH COMMON STOCK 0 0 115409
07.01.2014 WYNDHAM WORLDWIDE CORP 923 12529 SH COMMON STOCK 0 0 12529
07.01.2014 ZIMMER HOLDINGS INC 2703 29004 SH COMMON STOCK 0 0 29004
07.01.2014 3M CO 3486 24859 SH COMMON STOCK 0 0 24859
01.07.2014 ABBOTT LABORATORIES 2699 66000 SH COMMON STOCK 0 0 66000
01.07.2014 ABBVIE INC 3725 66000 SH COMMON STOCK 0 0 66000
01.07.2014 ACCENTURE PLC-CL A 4895 60550 SH COMMON STOCK 0 0 60550
01.07.2014 ACTAVIS PLC 4238 19000 SH COMMON STOCK 0 0 19000
01.07.2014 AFLAC INC 2496 40100 SH COMMON STOCK 0 0 40100
01.07.2014 AGILENT TECHNOLOGIES INC 3567 62100 SH COMMON STOCK 0 0 62100
01.07.2014 AIRGAS INC 1394 12800 SH COMMON STOCK 0 0 12800
01.07.2014 ALEXANDRIA REAL ESTATE EQUIT 3556 45800 SH COMMON STOCK 0 0 45800
01.07.2014 ALTRIA GROUP INC 3607 86000 SH COMMON STOCK 0 0 86000
01.07.2014 AMERIPRISE FINANCIAL INC 1764 14700 SH COMMON STOCK 0 0 14700
01.07.2014 AMGEN INC 7102 60000 SH COMMON STOCK 0 0 60000
01.07.2014 ANADARKO PETROLEUM CORP 3284 30000 SH COMMON STOCK 0 0 30000
01.07.2014 APPLE INC 9758 105000 SH COMMON STOCK 0 0 105000
01.07.2014 APPLIED MATERIALS INC 2429 107700 SH COMMON STOCK 0 0 107700
01.07.2014 ARCHER-DANIELS-MIDLAND CO 3776 85600 SH COMMON STOCK 0 0 85600
01.07.2014 ASSOCIATED ESTATES REALTY CP 2820 156500 SH COMMON STOCK 0 0 156500
01.07.2014 AVALONBAY COMMUNITIES INC 4197 29520 SH COMMON STOCK 0 0 29520
01.07.2014 BANK OF AMERICA CORP 2960 192600 SH COMMON STOCK 0 0 192600
01.07.2014 BANK OF NEW YORK MELLON CORP 2946 78600 SH COMMON STOCK 0 0 78600
01.07.2014 BAXTER INTERNATIONAL INC 2603 36000 SH COMMON STOCK 0 0 36000
01.07.2014 BIOGEN IDEC INC 9901 31400 SH COMMON STOCK 0 0 31400
01.07.2014 BIOMED REALTY TRUST INC 3416 156500 SH COMMON STOCK 0 0 156500
01.07.2014 BOSTON PROPERTIES INC 2413 20417 SH COMMON STOCK 0 0 20417
01.07.2014 BRANDYWINE REALTY TRUST 1878 120400 SH COMMON STOCK 0 0 120400
01.07.2014 BRISTOL-MYERS SQUIBB CO 4900 101000 SH COMMON STOCK 0 0 101000
01.07.2014 CAMDEN PROPERTY TRUST 2936 41269 SH COMMON STOCK 0 0 41269
01.07.2014 CATERPILLAR INC 4836 44500 SH COMMON STOCK 0 0 44500
01.07.2014 CELANESE CORP-SERIES A 3053 47500 SH COMMON STOCK 0 0 47500
01.07.2014 CF Industries Holdings INC 3079 12800 SH COMMON STOCK 0 0 12800
01.07.2014 CHESAPEAKE LODGING TRUST 2025 67000 SH COMMON STOCK 0 0 67000
01.07.2014 CISCO SYSTEMS INC 4175 168000 SH COMMON STOCK 0 0 168000
01.07.2014 CITIGROUP INC 5831 123800 SH COMMON STOCK 0 0 123800
01.07.2014 COACH INC 1491 43600 SH COMMON STOCK 0 0 43600
01.07.2014 COCA-COLA CO/THE 7794 184000 SH COMMON STOCK 0 0 184000
01.07.2014 COGNIZANT TECH SOLUTIONS-A 2719 55600 SH COMMON STOCK 0 0 55600
01.07.2014 COLGATE-PALMOLIVE CO 9886 145000 SH COMMON STOCK 0 0 145000
01.07.2014 COMCAST CORP-CLASS A 5600 105000 SH COMMON STOCK 0 0 105000
01.07.2014 CONOCOPHILLIPS 4115 48000 SH COMMON STOCK 0 0 48000
01.07.2014 CONSOL ENERGY INC 1783 38700 SH COMMON STOCK 0 0 38700
01.07.2014 COSTCO WHOLESALE CORP 2994 26000 SH COMMON STOCK 0 0 26000
01.07.2014 CVS CAREMARK CORP 4899 65000 SH COMMON STOCK 0 0 65000
01.07.2014 DCT INDUSTRIAL TRUST INC 756 92100 SH COMMON STOCK 0 0 92100
01.07.2014 DEERE and CO 3079 34000 SH COMMON STOCK 0 0 34000
01.07.2014 DELPHI AUTOMOTIVE PLC 3251 47300 SH COMMON STOCK 0 0 47300
01.07.2014 DEVON ENERGY CORPORATION 2104 26500 SH COMMON STOCK 0 0 26500
01.07.2014 DIAMOND OFFSHORE DRILLING 819 16500 SH COMMON STOCK 0 0 16500
01.07.2014 DIGITAL REALTY TRUST INC 4339 74400 SH COMMON STOCK 0 0 74400
01.07.2014 DOLLAR TREE INC 2331 42800 SH COMMON STOCK 0 0 42800
01.07.2014 DOUGLAS EMMETT INC 827 29300 SH COMMON STOCK 0 0 29300
01.07.2014 DR PEPPER SNAPPLE GROUP INC 1875 32000 SH COMMON STOCK 0 0 32000
01.07.2014 DU PONT (E.I.) DE NEMOURS 1787 27300 SH COMMON STOCK 0 0 27300
01.07.2014 DUKE REALTY CORP 2016 111024 SH COMMON STOCK 0 0 111024
01.07.2014 EASTMAN CHEMICAL CO 4630 53000 SH COMMON STOCK 0 0 53000
01.07.2014 EBAY INC 5226 104400 SH COMMON STOCK 0 0 104400
01.07.2014 ECOLAB INC 3229 29000 SH COMMON STOCK 0 0 29000
01.07.2014 ELI LILLY and CO 4433 71300 SH COMMON STOCK 0 0 71300
01.07.2014 EMC CORP/MA 1467 55700 SH COMMON STOCK 0 0 55700
01.07.2014 EMERSON ELECTRIC CO 1533 23100 SH COMMON STOCK 0 0 23100
01.07.2014 EPR PROPERTIES 2782 49800 SH COMMON STOCK 0 0 49800
01.07.2014 EQUITY LIFESTYLE PROPERTIES 3268 74000 SH COMMON STOCK 0 0 74000
01.07.2014 EQUITY RESIDENTIAL 3393 53856 SH COMMON STOCK 0 0 53856
01.07.2014 ESSEX PROPERTY TRUST INC 925 5000 SH COMMON STOCK 0 0 5000
01.07.2014 ESTEE LAUDER COMPANIES-CL A 3193 43000 SH COMMON STOCK 0 0 43000
01.07.2014 EXXON MOBIL CORP 11578 115000 SH COMMON STOCK 0 0 115000
01.07.2014 FEDERAL REALTY INVS TRUST 1266 10468 SH COMMON STOCK 0 0 10468
01.07.2014 FMC CORP 3563 50050 SH COMMON STOCK 0 0 50050
01.07.2014 FOSSIL GROUP INC 2299 22000 SH COMMON STOCK 0 0 22000
01.07.2014 FRANKLIN RESOURCES INC 2950 51000 SH COMMON STOCK 0 0 51000
01.07.2014 GENERAL ELECTRIC CO 11879 452000 SH COMMON STOCK 0 0 452000
01.07.2014 GENERAL GROWTH PROPERTIES 1543 65500 SH COMMON STOCK 0 0 65500
01.07.2014 GENERAL MILLS INC 3678 70000 SH COMMON STOCK 0 0 70000
01.07.2014 GILEAD SCIENCES INC 3233 39000 SH COMMON STOCK 0 0 39000
01.07.2014 GOOGLE INC-CL A 6145 10510 SH COMMON STOCK 0 0 10510
01.07.2014 GOOGLE INC-CL C 6046 10510 SH COMMON STOCK 0 0 10510
01.07.2014 HALLIBURTON CO 4729 66600 SH COMMON STOCK 0 0 66600
01.07.2014 HARLEY-DAVIDSON INC 1299 18600 SH COMMON STOCK 0 0 18600
01.07.2014 HCP INC 6811 164593 SH COMMON STOCK 0 0 164593
01.07.2014 HEALTH CARE REIT INC 2435 38853 SH COMMON STOCK 0 0 38853
01.07.2014 HEALTHCARE REALTY TRUST INC 704 27682 SH COMMON STOCK 0 0 27682
01.07.2014 HESS CORP 3313 33500 SH COMMON STOCK 0 0 33500
01.07.2014 HIGHWOODS PROPERTIES INC 1292 30802 SH COMMON STOCK 0 0 30802
01.07.2014 HOME DEPOT INC 7003 86500 SH COMMON STOCK 0 0 86500
01.07.2014 HOME PROPERTIES INC 3492 54600 SH COMMON STOCK 0 0 54600
01.07.2014 HOSPITALITY PROPERTIES TRUST 3418 112434 SH COMMON STOCK 0 0 112434
01.07.2014 HOST HOTELS and RESORTS INC 3907 177498 SH COMMON STOCK 0 0 177498
01.07.2014 INLAND REAL ESTATE CORP 2259 212500 SH COMMON STOCK 0 0 212500
01.07.2014 INTEL CORP 5788 187300 SH COMMON STOCK 0 0 187300
01.07.2014 INTERNATIONAL PAPER CO 858 17000 SH COMMON STOCK 0 0 17000
01.07.2014 INTL BUSINESS MACHINES CORP 8900 49100 SH COMMON STOCK 0 0 49100
01.07.2014 JOHNSON and JOHNSON 10880 104000 SH COMMON STOCK 0 0 104000
01.07.2014 JOY GLOBAL INC 961 15600 SH COMMON STOCK 0 0 15600
01.07.2014 JPMORGAN CHASE and CO 7663 133000 SH COMMON STOCK 0 0 133000
01.07.2014 KELLOGG CO 2858 43500 SH COMMON STOCK 0 0 43500
01.07.2014 KIMBERLY-CLARK CORP 3893 35000 SH COMMON STOCK 0 0 35000
01.07.2014 KIMCO REALTY CORP 2958 128731 SH COMMON STOCK 0 0 128731
01.07.2014 KRAFT FOODS GROUP INC 3276 54650 SH COMMON STOCK 0 0 54650
01.07.2014 KROGER CO 4844 98000 SH COMMON STOCK 0 0 98000
01.07.2014 LASALLE HOTEL PROPERTIES 1839 52100 SH COMMON STOCK 0 0 52100
01.07.2014 LIBERTY PROPERTY TRUST 2242 59096 SH COMMON STOCK 0 0 59096
01.07.2014 MACERICH CO/THE 2136 32007 SH COMMON STOCK 0 0 32007
01.07.2014 MCCORMICK and CO-NON VTG SHRS 3794 53000 SH COMMON STOCK 0 0 53000
01.07.2014 MCDONALD'S CORP 6488 64400 SH COMMON STOCK 0 0 64400
01.07.2014 MCGRAW HILL FINANCIAL INC 3902 47000 SH COMMON STOCK 0 0 47000
01.07.2014 MCKESSON CORP 2719 14600 SH COMMON STOCK 0 0 14600
01.07.2014 MEAD JOHNSON NUTRITION CO 2516 27000 SH COMMON STOCK 0 0 27000
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05.07.2016 PAYCHEX INC 3987 67000 SH COMMON STOCK 0 0 67000
05.07.2016 PEOPLE'S UNITED FINANCIAL 2932 200000 SH COMMON STOCK 0 0 200000
05.07.2016 PFIZER INC 10257 291300 SH COMMON STOCK 0 0 291300
05.07.2016 PHILIP MORRIS INTERNATIONAL 7985 78500 SH COMMON STOCK 0 0 78500
05.07.2016 PHYSICIANS REALTY TRUST 483 23000 SH COMMON STOCK 0 0 23000
05.07.2016 PINNACLE WEST CAPITAL 0 0 SH COMMON STOCK 0 0 0
05.07.2016 POLARIS INDUSTRIES INC 3279 40100 SH COMMON STOCK 0 0 40100
05.07.2016 POST PROPERTIES INC 1526 25000 SH COMMON STOCK 0 0 25000
05.07.2016 PPG INDUSTRIES INC 3749 36000 SH COMMON STOCK 0 0 36000
05.07.2016 PPL CORP 3964 105000 SH COMMON STOCK 0 0 105000
05.07.2016 PRAXAIR INC 3866 34400 SH COMMON STOCK 0 0 34400
05.07.2016 PRICELINE GROUP INC/THE 5181 4150 SH COMMON STOCK 0 0 4150
05.07.2016 PROLOGIS INC 4119 84000 SH COMMON STOCK 0 0 84000
05.07.2016 PUBLIC STORAGE 5386 21074 SH COMMON STOCK 0 0 21074
05.07.2016 QUALCOMM INC 5786 108000 SH COMMON STOCK 0 0 108000
05.07.2016 QUINTILES TRANSNATIONAL HOLD 3201 49000 SH COMMON STOCK 0 0 49000
05.07.2016 RAMCO-GERSHENSON PROPERTIES 431 22000 SH COMMON STOCK 0 0 22000
05.07.2016 RESMED INC 3288 52000 SH COMMON STOCK 0 0 52000
05.07.2016 RETAIL OPPORTUNITY INVESTMEN 379 17500 SH COMMON STOCK 0 0 17500
05.07.2016 RLJ LODGING TRUST 1699 79200 SH COMMON STOCK 0 0 79200
05.07.2016 RMR GROUP INC/THE - A 238 7684 SH COMMON STOCK 0 0 7684
05.07.2016 ROBERT HALF INTL INC 2473 64800 SH COMMON STOCK 0 0 64800
05.07.2016 ROCKWELL AUTOMATION INC 3709 32300 SH COMMON STOCK 0 0 32300
05.07.2016 ROSS STORES INC 3509 61900 SH COMMON STOCK 0 0 61900
05.07.2016 SandP Global INC 4344 40500 SH COMMON STOCK 0 0 40500
05.07.2016 SABRA HEALTH CARE REIT INC 2691 130400 SH COMMON STOCK 0 0 130400
05.07.2016 SCANA CORP 3405 45000 SH COMMON STOCK 0 0 45000
05.07.2016 SEI INVESTMENTS COMPANY 0 0 SH COMMON STOCK 0 0 0
05.07.2016 SELECT INCOME REIT 3893 149800 SH COMMON STOCK 0 0 149800
05.07.2016 SEMPRA ENERGY 0 0 SH COMMON STOCK 0 0 0
05.07.2016 SENIOR HOUSING PROP TRUST 4231 203100 SH COMMON STOCK 0 0 203100
05.07.2016 SHERWIN-WILLIAMS CO/THE 3818 13000 SH COMMON STOCK 0 0 13000
05.07.2016 SILVER BAY REALTY TRUST CORP 511 30000 SH COMMON STOCK 0 0 30000
05.07.2016 SIMON PROPERTY GROUP INC 14209 65508 SH COMMON STOCK 0 0 65508
05.07.2016 SKYWORKS SOLUTIONS INC 2943 46500 SH COMMON STOCK 0 0 46500
05.07.2016 SL GREEN REALTY CORP 1802 16923 SH COMMON STOCK 0 0 16923
05.07.2016 SNAP-ON INC 2841 18000 SH COMMON STOCK 0 0 18000
05.07.2016 SOUTHERN CO/THE 4285 79900 SH COMMON STOCK 0 0 79900
05.07.2016 SOUTHWEST AIRLINES CO 2745 70000 SH COMMON STOCK 0 0 70000
05.07.2016 STAG INDUSTRIAL INC 2393 100500 SH COMMON STOCK 0 0 100500
05.07.2016 STARBUCKS CORP 5175 90600 SH COMMON STOCK 0 0 90600
05.07.2016 STRYKER CORP 0 0 SH COMMON STOCK 0 0 0
05.07.2016 SUMMIT HOTEL PROPERTIES INC 1178 89000 SH COMMON STOCK 0 0 89000
05.07.2016 SYSCO CORP 3988 78600 SH COMMON STOCK 0 0 78600
05.07.2016 T ROWE PRICE GROUP INC 3393 46500 SH COMMON STOCK 0 0 46500
05.07.2016 TANGER FACTORY OUTLET CENTER 3576 89000 SH COMMON STOCK 0 0 89000
05.07.2016 TAUBMAN CENTERS INC 1187 16000 SH COMMON STOCK 0 0 16000
05.07.2016 TEXAS INSTRUMENTS INC 5325 85000 SH COMMON STOCK 0 0 85000
05.07.2016 TJX COMPANIES INC 4564 59100 SH COMMON STOCK 0 0 59100
05.07.2016 TORCHMARK CORP 3326 53800 SH COMMON STOCK 0 0 53800
05.07.2016 TOTAL SYSTEM SERVICES INC 3505 66000</