Form f13t for CIK:1637246

Reported Date (DD.MM.YYYY) Issuer Name Value Thousands Sshprn Amount Sshprn Type Class Title Voting Authority Sole Voting Authority Shared Voting Authority None
03.04.2017 FACEBOOK INC-A 5682 40000 SH COMMON STOCK 0 0 40000
02.01.2018 PHYSICIANS REALTY TRUST 198 11000 SH COMMON STOCK 0 0 11000
03.04.2017 VAREX IMAGING Corp 226 6720 SH COMMON STOCK 0 0 6720
04.04.2016 MICHAEL KORS HOLDINGS LTD 1954 34300 SH COMMON STOCK 0 0 34300
03.04.2018 GAMING AND LEISURE PROPERTIE 619 18500 SH COMMON STOCK 0 0 18500
12.10.2016 HOSPITALITY PROPERTIES TRUST 989 33266 SH COMMON STOCK 0 0 33266
03.04.2018 LOWE'S COS INC 2571 29300 SH COMMON STOCK 0 0 29300
01.10.2019 FASTENAL CO 1662 51000 SH COMMON STOCK 0 0 51000
06.01.2020 YUM! BRANDS INC 1793 17800 SH COMMON STOCK 0 0 17800
06.01.2020 ALEXANDRIA REAL ESTATE EQUIT 1382 8550 SH COMMON STOCK 0 0 8550
06.01.2020 SIMON PROPERTY GROUP INC 3650 24506 SH COMMON STOCK 0 0 24506
02.04.2020 DIGITAL REALTY TRUST INC 2354 16947 SH COMMON STOCK 0 0 16947
14.07.2015 PRECISION CASTPARTS CORP 1019 5100 SH COMMON STOCK 0 0 5100
05.07.2016 MARSH and MCLENNAN COS 2150 31400 SH COMMON STOCK 0 0 31400
12.10.2016 VISA INC-CLASS A SHARES 3763 45500 SH COMMON STOCK 0 0 45500
31.03.2021 SEI INVESTMENTS COMPANY 1950 32000 SH COMMON STOCK 0 0 32000
15.10.2015 KROGER CO 1876 52000 SH COMMON STOCK 0 0 52000
05.10.2020 BEST BUY CO INC 2593 23300 SH COMMON STOCK 0 0 23300
01.07.2020 MASCO CORP 1868 37200 SH COMMON STOCK 0 0 37200
15.10.2015 RETAIL OPPORTUNITY INVESTMEN 430 26000 SH COMMON STOCK 0 0 26000
01.07.2020 PREFERRED APARTMENT COMMUN-A 471 62000 SH COMMON STOCK 0 0 62000
03.04.2018 VENTAS INC 1405 28362 SH COMMON STOCK 0 0 28362
02.01.2018 CDK GLOBAL INC 1568 22000 SH COMMON STOCK 0 0 22000
04.01.2021 ROSS STORES INC 2034 21800 SH COMMON STOCK 0 0 21800
15.10.2015 SHERWIN-WILLIAMS CO/THE 1359 6100 SH COMMON STOCK 0 0 6100
12.10.2016 ESSEX PROPERTY TRUST INC 668 3000 SH COMMON STOCK 0 0 3000
06.01.2016 CR BARD INC 1516 8000 SH COMMON STOCK 0 0 8000
31.03.2021 PROCTER and GAMBLE CO/THE 5282 39000 SH COMMON STOCK 0 0 39000
02.04.2020 CELANESE CORP-SERIES A 1138 15500 SH COMMON STOCK 0 0 15500
04.04.2016 PHILIP MORRIS INTERNATIONAL 3620 36900 SH COMMON STOCK 0 0 36900
03.04.2018 UNION PACIFIC CORP 3509 26100 SH COMMON STOCK 0 0 26100
02.07.2019 HOSPITALITY PROPERTIES TRUST 682 27266 SH COMMON STOCK 0 0 27266
14.04.2015 ABBOTT LABORATORIES 639 13800 SH COMMON STOCK 0 0 13800
02.07.2018 STATE STREET CORP 2150 23100 SH COMMON STOCK 0 0 23100
06.01.2020 WP CAREY INC 560 7000 SH COMMON STOCK 0 0 7000
03.01.2017 DDR CORP 825 54000 SH COMMON STOCK 0 0 54000
04.01.2021 INVITATION HOMES INC 1807 64565 SH COMMON STOCK 0 0 64565
15.10.2015 ACCENTURE PLC-CL A 2461 25050 SH COMMON STOCK 0 0 25050
14.07.2015 SIMON PROPERTY GROUP INC 2544 14706 SH COMMON STOCK 0 0 14706
01.10.2019 US BANCORP 2222 42400 SH COMMON STOCK 0 0 42400
01.10.2018 HUDSON PACIFIC PROPERTIES IN 834 25500 SH COMMON STOCK 0 0 25500
05.07.2017 MANPOWERGROUP INC 1898 17000 SH COMMON STOCK 0 0 17000
01.04.2019 STAG INDUSTRIAL INC 756 25500 SH COMMON STOCK 0 0 25500
06.01.2016 SELECT INCOME REIT 1167 58900 SH COMMON STOCK 0 0 58900
12.10.2016 DIAMONDROCK HOSPITALITY CO 519 57000 SH COMMON STOCK 0 0 57000
03.04.2018 CDK GLOBAL INC 1850 29200 SH COMMON STOCK 0 0 29200
02.07.2019 CSX CORP 2321 30000 SH COMMON STOCK 0 0 30000
04.10.2017 ARMADA HOFFLER PROPERTIES IN 360 26101 SH COMMON STOCK 0 0 26101
31.03.2021 FACEBOOK INC-A 9337 31700 SH COMMON STOCK 0 0 31700
04.10.2017 HOME DEPOT INC 4154 25400 SH COMMON STOCK 0 0 25400
05.07.2017 METTLER-TOLEDO INTERNATIONAL 2060 3500 SH COMMON STOCK 0 0 3500
03.01.2017 ALEXANDRIA REAL ESTATE EQUIT 1228 11050 SH COMMON STOCK 0 0 11050
02.07.2018 AGNC INVESTMENT CORP 1803 97000 SH COMMON STOCK 0 0 97000
05.07.2016 AFLAC INC 1970 27300 SH COMMON STOCK 0 0 27300
03.01.2017 CBL and ASSOCIATES PROPERTIES 368 32000 SH COMMON STOCK 0 0 32000
02.04.2020 ALLSTATE CORP 1798 19600 SH COMMON STOCK 0 0 19600
05.07.2017 SNAP-ON INC 1264 8000 SH COMMON STOCK 0 0 8000
02.04.2020 MID-AMERICA APARTMENT COMM 1520 14750 SH COMMON STOCK 0 0 14750
05.07.2017 ALLSTATE CORP 1981 22400 SH COMMON STOCK 0 0 22400
06.01.2020 ESSEX PROPERTY TRUST INC 903 3000 SH COMMON STOCK 0 0 3000
12.10.2016 CR BARD INC 1727 7700 SH COMMON STOCK 0 0 7700
05.10.2020 HCP INC 1303 48007 SH COMMON STOCK 0 0 48007
06.01.2016 CARE CAPITAL PROPERTIES UNC 223 7290 SH COMMON STOCK 0 0 7290
01.10.2019 STARBUCKS CORP 2808 33500 SH COMMON STOCK 0 0 33500
15.10.2015 DUKE REALTY CORP 1061 55707 SH COMMON STOCK 0 0 55707
02.04.2020 IDEXX LABORATORIES INC 1647 6800 SH COMMON STOCK 0 0 6800
03.01.2017 DOLLAR GENERAL CORP 1541 20800 SH COMMON STOCK 0 0 20800
06.01.2020 COUSINS PROPERTIES INC 1479 35900 SH COMMON STOCK 0 0 35900
02.04.2020 AGNC INVESTMENT CORP 868 82000 SH COMMON STOCK 0 0 82000
05.07.2017 TORCHMARK CORP 1476 19300 SH COMMON STOCK 0 0 19300
06.01.2016 UNITED PARCEL SERVICE-CL B 2305 23950 SH COMMON STOCK 0 0 23950
04.01.2021 REINSURANCE GROUP OF AMERICA 1428 15000 SH COMMON STOCK 0 0 15000
06.01.2016 KITE REALTY GROUP TRUST 736 28400 SH COMMON STOCK 0 0 28400
02.07.2018 AUTOZONE INC 1946 2900 SH COMMON STOCK 0 0 2900
01.10.2018 MID-AMERICA APARTMENT COMM 1703 17000 SH COMMON STOCK 0 0 17000
05.07.2016 EDISON INTERNATIONAL 0 0 SH COMMON STOCK 0 0 0
03.01.2017 VMWARE INC-CLASS A 1732 22000 SH COMMON STOCK 0 0 22000
15.10.2015 ESSEX PROPERTY TRUST INC 223 1000 SH COMMON STOCK 0 0 1000
01.10.2018 CSX CORP 2444 33000 SH COMMON STOCK 0 0 33000
05.07.2016 SL GREEN REALTY CORP 773 7257 SH COMMON STOCK 0 0 7257
06.01.2020 ZOETIS INC 2448 18500 SH COMMON STOCK 0 0 18500
31.03.2021 PARK HOTELS and RESORTS INC 197 9106 SH COMMON STOCK 0 0 9106
04.04.2016 ARTHUR J GALLAGHER and CO 1423 32000 SH COMMON STOCK 0 0 32000
02.04.2020 EPR PROPERTIES 499 20600 SH COMMON STOCK 0 0 20600
01.10.2018 MID-AMERICA APARTMENT COMM 1558 15550 SH COMMON STOCK 0 0 15550
14.07.2015 WEINGARTEN REALTY INVESTORS 337 10314 SH COMMON STOCK 0 0 10314
02.01.2019 LOWE'S COS INC 2337 25300 SH COMMON STOCK 0 0 25300
15.10.2015 NORFOLK SOUTHERN CORP 1192 15600 SH COMMON STOCK 0 0 15600
01.10.2019 DIAMONDROCK HOSPITALITY CO 155 15000 SH COMMON STOCK 0 0 15000
01.07.2020 TRAVELERS COS INC/THE 1585 13900 SH COMMON STOCK 0 0 13900
31.03.2021 MCDONALD'S CORP 3519 15700 SH COMMON STOCK 0 0 15700
03.04.2018 VF CORP 2179 29400 SH COMMON STOCK 0 0 29400
01.10.2018 F5 NETWORKS INC 2253 11300 SH COMMON STOCK 0 0 11300
01.10.2019 ETRADE FINANCIAL CORP 1472 33000 SH COMMON STOCK 0 0 33000
01.07.2020 MACERICH CO/THE 78 8692 SH COMMON STOCK 0 0 8692
02.01.2018 TORCHMARK CORP 1751 19300 SH COMMON STOCK 0 0 19300
02.07.2019 INTUIT INC 2241 8575 SH COMMON STOCK 0 0 8575
06.01.2020 DUKE REALTY CORP 545 15707 SH COMMON STOCK 0 0 15707
15.10.2015 INTL BUSINESS MACHINES CORP 3508 24200 SH COMMON STOCK 0 0 24200
02.07.2019 ROSS STORES INC 1863 18800 SH COMMON STOCK 0 0 18800
05.10.2020 DUKE REALTY CORP 985 26707 SH COMMON STOCK 0 0 26707
02.07.2019 EBAY INC 1857 47000 SH COMMON STOCK 0 0 47000
02.01.2018 DELTA AIR LINES INC 1736 31000 SH COMMON STOCK 0 0 31000
03.04.2018 WASHINGTON REIT 164 6000 SH COMMON STOCK 0 0 6000
03.01.2017 EVERSOURCE ENERGY 1767 32000 SH COMMON STOCK 0 0 32000
04.04.2016 CONSOLIDATED EDISON INC 1609 21000 SH COMMON STOCK 0 0 21000
04.04.2016 WELLS FARGO and CO 4696 97100 SH COMMON STOCK 0 0 97100
06.01.2020 HOST HOTELS and RESORTS INC 1249 67343 SH COMMON STOCK 0 0 67343
02.07.2018 ROBERT HALF INTL INC 1920 29500 SH COMMON STOCK 0 0 29500
02.07.2019 CYRUSONE INC 993 17200 SH COMMON STOCK 0 0 17200
06.01.2016 HOSPITALITY PROPERTIES TRUST 870 33266 SH COMMON STOCK 0 0 33266
06.01.2016 DIGITAL REALTY TRUST INC 1546 20450 SH COMMON STOCK 0 0 20450
02.01.2019 PHYSICIANS REALTY TRUST 818 51000 SH COMMON STOCK 0 0 51000
03.04.2018 F5 NETWORKS INC 2270 15700 SH COMMON STOCK 0 0 15700
05.07.2017 AMERICAN CAMPUS COMMUNITIES 449 9500 SH COMMON STOCK 0 0 9500
04.01.2021 ILLINOIS TOOL WORKS 2628 13600 SH COMMON STOCK 0 0 13600
02.04.2020 UNITEDHEALTH GROUP INC 4165 16700 SH COMMON STOCK 0 0 16700
05.10.2020 LAM RESEARCH CORP 2654 8000 SH COMMON STOCK 0 0 8000
05.07.2017 PRINCIPAL FINANCIAL GROUP 1685 26300 SH COMMON STOCK 0 0 26300
02.04.2020 DOUGLAS EMMETT INC 275 9000 SH COMMON STOCK 0 0 9000
06.01.2016 MASTERCARD INC-CLASS A 2629 27000 SH COMMON STOCK 0 0 27000
02.04.2020 TRAVELERS COS INC/THE 1381 13900 SH COMMON STOCK 0 0 13900
05.10.2020 PINNACLE WEST CAPITAL 1640 22000 SH COMMON STOCK 0 0 22000
06.01.2020 METTLER-TOLEDO INTERNATIONAL 1801 2270 SH COMMON STOCK 0 0 2270
31.03.2021 BRISTOL-MYERS SQUIBB-CVR 0 23000 SH COMMON STOCK 0 0 23000
05.10.2020 SL GREEN REALTY CORP 429 9257 SH COMMON STOCK 0 0 9257
12.10.2016 DIGITAL REALTY TRUST INC 1161 11950 SH COMMON STOCK 0 0 11950
02.04.2020 SERVICE PROPERTIES TRUST 109 20266 SH COMMON STOCK 0 0 20266
02.01.2018 COGNIZANT TECH SOLUTIONS-A 2230 31400 SH COMMON STOCK 0 0 31400
06.01.2020 SABRA HEALTH CARE REIT INC 1107 51874 SH COMMON STOCK 0 0 51874
04.10.2017 ALEXANDRIA REAL ESTATE EQUIT 1017 8550 SH COMMON STOCK 0 0 8550
01.10.2018 AMERICAN HOMES 4 RENT- A 547 25000 SH COMMON STOCK 0 0 25000
02.01.2018 SNAP-ON INC 1394 8000 SH COMMON STOCK 0 0 8000
01.07.2020 PINNACLE WEST CAPITAL 1393 19000 SH COMMON STOCK 0 0 19000
05.10.2020 PFIZER INC 4298 117100 SH COMMON STOCK 0 0 117100
14.04.2015 SOUTHERN CO/THE 819 18500 SH COMMON STOCK 0 0 18500
01.10.2018 PHYSICIANS REALTY TRUST 860 51000 SH COMMON STOCK 0 0 51000
01.10.2019 INVITATION HOMES INC 259 9684 SH COMMON STOCK 0 0 9684
15.10.2015 HORMEL FOODS CORP 1456 23000 SH COMMON STOCK 0 0 23000
04.01.2021 BAXTER INTERNATIONAL INC 2171 27000 SH COMMON STOCK 0 0 27000
05.07.2016 WEINGARTEN REALTY INVESTORS 707 17314 SH COMMON STOCK 0 0 17314
03.04.2017 VISA INC-CLASS A SHARES 3555 40000 SH COMMON STOCK 0 0 40000
02.01.2018 LASALLE HOTEL PROPERTIES 682 24300 SH COMMON STOCK 0 0 24300
04.10.2017 TEXAS INSTRUMENTS INC 2680 29900 SH COMMON STOCK 0 0 29900
02.07.2018 PREFERRED APARTMENT COMMUN-A 340 20000 SH COMMON STOCK 0 0 20000
04.01.2021 AUTOZONE INC 2179 1850 SH COMMON STOCK 0 0 1850
05.07.2017 FACEBOOK INC-A 0 0 SH COMMON STOCK 0 0 0
01.10.2018 VEREIT INC 1111 153000 SH COMMON STOCK 0 0 153000
14.04.2015 HOME PROPERTIES INC 807 11650 SH COMMON STOCK 0 0 11650
06.01.2020 BROADRIDGE FINANCIAL SOLUTIO 1816 14700 SH COMMON STOCK 0 0 14700
12.10.2016 BROWN-FORMAN CORP-CLASS B 1660 35000 SH COMMON STOCK 0 0 35000
14.04.2015 MERCK and CO. INC. 2713 47200 SH COMMON STOCK 0 0 47200
03.01.2017 CAMDEN PROPERTY TRUST 944 11231 SH COMMON STOCK 0 0 11231
02.04.2020 VEREIT INC 1042 213000 SH COMMON STOCK 0 0 213000
04.01.2021 CLOROX COMPANY 2207 10500 SH COMMON STOCK 0 0 10500
02.01.2019 DIGITAL REALTY TRUST INC 1752 16447 SH COMMON STOCK 0 0 16447
05.10.2020 KIMBERLY-CLARK CORP 2451 16600 SH COMMON STOCK 0 0 16600
14.07.2015 CITIGROUP INC 2132 38600 SH COMMON STOCK 0 0 38600
01.10.2018 AUTOZONE INC 2250 2900 SH COMMON STOCK 0 0 2900
03.01.2017 CINTAS CORP 1849 16000 SH COMMON STOCK 0 0 16000
05.07.2017 ELI LILLY and CO 2502 30400 SH COMMON STOCK 0 0 30400
01.07.2020 EBAY INC 2780 53000 SH COMMON STOCK 0 0 53000
14.07.2015 DEVON ENERGY CORPORATION 428 7200 SH COMMON STOCK 0 0 7200
03.04.2017 GAP INC/THE 1414 58200 SH COMMON STOCK 0 0 58200
05.10.2020 SERVICE PROPERTIES TRUST 161 20266 SH COMMON STOCK 0 0 20266
06.01.2016 BROWN-FORMAN CORP-CLASS B 1390 14000 SH COMMON STOCK 0 0 14000
02.01.2019 UNITED CONTINENTAL HOLDINGS 1591 19000 SH COMMON STOCK 0 0 19000
12.10.2016 SHERWIN-WILLIAMS CO/THE 1632 5900 SH COMMON STOCK 0 0 5900
03.01.2017 PROLOGIS INC 1584 30000 SH COMMON STOCK 0 0 30000
15.10.2015 ALPHABET INC-CL C 3095 5087 SH COMMON STOCK 0 0 5087
04.04.2016 KIMCO REALTY CORP 584 20295 SH COMMON STOCK 0 0 20295
03.01.2017 APARTMENT INVT and MGMT CO -A 659 14500 SH COMMON STOCK 0 0 14500
15.10.2015 UNITED TECHNOLOGIES CORP 2581 29000 SH COMMON STOCK 0 0 29000
04.04.2016 QUINTILES TRANSNATIONAL HOLD 1432 22000 SH COMMON STOCK 0 0 22000
12.10.2016 CARE CAPITAL PROPERTIES INC 949 33290 SH COMMON STOCK 0 0 33290
01.04.2019 SYNOPSYS INC 1958 17000 SH COMMON STOCK 0 0 17000
03.04.2018 HOSPITALITY PROPERTIES TRUST 691 27266 SH COMMON STOCK 0 0 27266
04.01.2021 BOSTON PROPERTIES INC 547 6814 SH COMMON STOCK 0 0 6814
14.04.2015 ESSEX PROPERTY TRUST INC 115 500 SH COMMON STOCK 0 0 500
06.01.2020 URSTADT BIDDLE - CLASS A 422 17000 SH COMMON STOCK 0 0 17000
06.01.2020 ARMADA HOFFLER PROPERTIES IN 240 13101 SH COMMON STOCK 0 0 13101
15.10.2015 DOLLAR TREE INC 1380 20700 SH COMMON STOCK 0 0 20700
05.10.2020 MCKESSON CORP 1936 13000 SH COMMON STOCK 0 0 13000
05.10.2020 CAMPBELL SOUP CO 2128 44000 SH COMMON STOCK 0 0 44000
06.01.2020 INVITATION HOMES INC 290 9684 SH COMMON STOCK 0 0 9684
03.04.2018 DOLLAR TREE INC 1964 20700 SH COMMON STOCK 0 0 20700
14.04.2015 COMCAST CORP-CLASS A 1469 26200 SH COMMON STOCK 0 0 26200
03.04.2018 VORNADO REALTY TRUST 756 11237 SH COMMON STOCK 0 0 11237
01.10.2019 WATERS CORP 1399 6500 SH COMMON STOCK 0 0 6500
04.04.2016 XCEL ENERGY INC 1702 40700 SH COMMON STOCK 0 0 40700
05.07.2016 GENERAL GROWTH PROPERTIES 775 26000 SH COMMON STOCK 0 0 26000
06.01.2020 GAMING AND LEISURE PROPERTIE 1313 30500 SH COMMON STOCK 0 0 30500
31.03.2021 LEXINGTON REALTY TRUST 1111 100000 SH COMMON STOCK 0 0 100000
05.07.2017 CUMMINS INC 1801 11100 SH COMMON STOCK 0 0 11100
06.01.2016 NORDSTROM INC 996 20000 SH COMMON STOCK 0 0 20000
15.10.2015 DEERE and CO 1221 16500 SH COMMON STOCK 0 0 16500
04.04.2016 MONSANTO CO 0 0 SH COMMON STOCK 0 0 0
02.07.2019 OMNICOM GROUP 1696 20700 SH COMMON STOCK 0 0 20700
14.07.2015 COCA-COLA CO/THE 1189 30300 SH COMMON STOCK 0 0 30300
02.01.2018 DCT INDUSTRIAL TRUST INC 356 6062 SH COMMON STOCK 0 0 6062
12.10.2016 BED BATH and BEYOND INC 1293 30000 SH COMMON STOCK 0 0 30000
02.07.2019 ETRADE FINANCIAL CORP 1472 33000 SH COMMON STOCK 0 0 33000
03.01.2017 OMNICOM GROUP 1745 20500 SH COMMON STOCK 0 0 20500
02.01.2019 QTS REALTY TRUST INC-CL A 593 16000 SH COMMON STOCK 0 0 16000
04.01.2021 UNITEDHEALTH GROUP INC 5362 17200 SH COMMON STOCK 0 0 17200
02.07.2018 CUBESMART 806 25000 SH COMMON STOCK 0 0 25000
02.04.2020 CAMDEN PROPERTY TRUST 1207 15231 SH COMMON STOCK 0 0 15231
06.01.2016 APPLE INC 7610 72300 SH COMMON STOCK 0 0 72300
03.01.2017 3M CO 3143 17600 SH COMMON STOCK 0 0 17600
01.04.2019 EMERSON ELECTRIC CO 1945 28400 SH COMMON STOCK 0 0 28400
02.01.2019 PFIZER INC 5177 118600 SH COMMON STOCK 0 0 118600
01.04.2019 VISA INC-CLASS A SHARES 4592 29400 SH COMMON STOCK 0 0 29400
02.04.2020 INGERSOLL-RAND INC 324 13059 SH COMMON STOCK 0 0 13059
31.03.2021 HENRY SCHEIN INC 1939 28000 SH COMMON STOCK 0 0 28000
04.10.2017 RLJ LODGING TRUST 634 28800 SH COMMON STOCK 0 0 28800
01.10.2018 AFLAC INC 2161 45900 SH COMMON STOCK 0 0 45900
14.04.2015 AMGEN INC 2430 15200 SH COMMON STOCK 0 0 15200
15.10.2015 WABCO HOLDINGS INC 1572 15000 SH COMMON STOCK 0 0 15000
04.01.2021 EMPIRE STATE REALTY TRUST-A 177 29000 SH COMMON STOCK 0 0 29000
04.04.2016 DIGITAL REALTY TRUST INC 1057 11950 SH COMMON STOCK 0 0 11950
05.07.2016 DARDEN RESTAURANTS INC 1457 23000 SH COMMON STOCK 0 0 23000
01.10.2018 INVITATION HOMES INC 222 9684 SH COMMON STOCK 0 0 9684
05.10.2020 ELI LILLY and CO 3404 23000 SH COMMON STOCK 0 0 23000
14.07.2015 EASTMAN CHEMICAL CO 1088 13300 SH COMMON STOCK 0 0 13300
31.03.2021 ATMOS ENERGY CORP 1977 20000 SH COMMON STOCK 0 0 20000
02.04.2020 BIOGEN INC 2373 7500 SH COMMON STOCK 0 0 7500
14.07.2015 INTEL CORP 1405 46200 SH COMMON STOCK 0 0 46200
01.10.2018 TORCHMARK CORP 2011 23200 SH COMMON STOCK 0 0 23200
04.01.2021 HERSHEY CO/THE 2064 14400 SH COMMON STOCK 0 0 14400
31.03.2021 KITE REALTY GROUP TRUST 336 17400 SH COMMON STOCK 0 0 17400
01.04.2019 SMITH (A.O.) CORP 1701 31900 SH COMMON STOCK 0 0 31900
02.04.2020 NEW SENIOR INVESTMENT GROUP 43 16863 SH COMMON STOCK 0 0 16863
05.07.2017 BRIXMOR PROPERTY GROUP INC 746 41711 SH COMMON STOCK 0 0 41711
06.01.2020 BEST BUY CO INC 1914 21800 SH COMMON STOCK 0 0 21800
01.07.2020 CUBESMART 931 34500 SH COMMON STOCK 0 0 34500
03.04.2018 LASALLE HOTEL PROPERTIES 705 24300 SH COMMON STOCK 0 0 24300
14.04.2015 GENERAL ELECTRIC CO 2878 116000 SH COMMON STOCK 0 0 116000
15.10.2015 INTEL CORP 2713 90000 SH COMMON STOCK 0 0 90000
03.01.2017 XYLEM INC 1585 32000 SH COMMON STOCK 0 0 32000
02.07.2019 KIMBERLY-CLARK CORP 2212 16600 SH COMMON STOCK 0 0 16600
01.10.2019 HEALTHCARE TRUST OF AME-CL A 905 33000 SH COMMON STOCK 0 0 33000
02.01.2018 UNITED PARCEL SERVICE-CL B 2413 20250 SH COMMON STOCK 0 0 20250
02.01.2019 NEW YORK REIT INC liquidation shs 31 2200 SH COMMON STOCK 0 0 2200
05.07.2017 HENRY SCHEIN INC 1720 9400 SH COMMON STOCK 0 0 9400
02.07.2019 ALEXANDRIA REAL ESTATE EQUIT 1206 8550 SH COMMON STOCK 0 0 8550
14.07.2015 METLIFE INC 1148 20500 SH COMMON STOCK 0 0 20500
02.04.2020 MERCK and CO. INC. 3770 49000 SH COMMON STOCK 0 0 49000
02.04.2020 FACEBOOK INC-A 6172 37000 SH COMMON STOCK 0 0 37000
03.04.2018 BRANDYWINE REALTY TRUST 945 59500 SH COMMON STOCK 0 0 59500
05.10.2020 WP CAREY INC 1075 16500 SH COMMON STOCK 0 0 16500
14.07.2015 KROGER CO 1784 24600 SH COMMON STOCK 0 0 24600
02.07.2018 COMCAST CORP-CLASS A 3570 108800 SH COMMON STOCK 0 0 108800
05.10.2020 UDR INC 1317 40388 SH COMMON STOCK 0 0 40388
02.01.2018 GAP INC/THE 1805 53000 SH COMMON STOCK 0 0 53000
03.04.2018 EQUITY RESIDENTIAL 1414 22953 SH COMMON STOCK 0 0 22953
12.10.2016 ARMADA HOFFLER PROPERTIES IN 283 21101 SH COMMON STOCK 0 0 21101
04.10.2017 AMERICAN ELECTRIC POWER 2023 28800 SH COMMON STOCK 0 0 28800
01.10.2018 ILLINOIS TOOL WORKS 2145 15200 SH COMMON STOCK 0 0 15200
04.04.2016 WALT DISNEY CO/THE 3665 36900 SH COMMON STOCK 0 0 36900
12.10.2016 CYRUSONE INC 247 5200 SH COMMON STOCK 0 0 5200
02.07.2018 OMNICOM GROUP 2219 29100 SH COMMON STOCK 0 0 29100
06.01.2016 COLGATE-PALMOLIVE CO 2218 33300 SH COMMON STOCK 0 0 33300
12.10.2016 CBS CORP-CLASS B NON VOTING 2025 37000 SH COMMON STOCK 0 0 37000
05.07.2017 BROADRIDGE FINANCIAL SOLUTIO 1511 20000 SH COMMON STOCK 0 0 20000
12.10.2016 VF CORP 986 17600 SH COMMON STOCK 0 0 17600
31.03.2021 PREFERRED APARTMENT COMMUN-A 512 52000 SH COMMON STOCK 0 0 52000
06.01.2016 NIKE INC -CL B 2625 42000 SH COMMON STOCK 0 0 42000
02.07.2018 PROCTER and GAMBLE CO/THE 4090 52400 SH COMMON STOCK 0 0 52400
01.10.2019 DARDEN RESTAURANTS INC 1680 13800 SH COMMON STOCK 0 0 13800
06.01.2016 EQUITY LIFESTYLE PROPERTIES 433 6500 SH COMMON STOCK 0 0 6500
05.07.2017 HOST HOTELS and RESORTS INC 1413 77343 SH COMMON STOCK 0 0 77343
03.04.2017 ORACLE CORP 3234 72500 SH COMMON STOCK 0 0 72500
12.10.2016 HUNT (JB) TRANSPRT SVCS INC 1517 18700 SH COMMON STOCK 0 0 18700
04.10.2017 SENIOR HOUSING PROP TRUST 1097 56100 SH COMMON STOCK 0 0 56100
14.07.2015 EQUITY LIFESTYLE PROPERTIES 552 10500 SH COMMON STOCK 0 0 10500
05.07.2016 MCCORMICK and CO-NON VTG SHRS 1728 16200 SH COMMON STOCK 0 0 16200
15.10.2015 SELECT INCOME REIT 1120 58900 SH COMMON STOCK 0 0 58900
04.04.2016 COGNIZANT TECH SOLUTIONS-A 1799 28700 SH COMMON STOCK 0 0 28700
03.04.2017 TORCHMARK CORP 1487 19300 SH COMMON STOCK 0 0 19300
03.04.2018 RAMCO-GERSHENSON PROPERTIES 681 55100 SH COMMON STOCK 0 0 55100
15.10.2015 COMCAST CORP-CLASS A 2919 51000 SH COMMON STOCK 0 0 51000
01.10.2018 KIMBERLY-CLARK CORP 2375 20900 SH COMMON STOCK 0 0 20900
03.04.2018 LOEWS CORP 2074 41700 SH COMMON STOCK 0 0 41700
04.10.2017 LIBERTY PROPERTY TRUST 1149 27984 SH COMMON STOCK 0 0 27984
02.07.2019 ZOETIS INC 2406 21200 SH COMMON STOCK 0 0 21200
02.07.2019 IRON MOUNTAIN INC 1017 32500 SH COMMON STOCK 0 0 32500
05.07.2016 WATERS CORP 1575 11200 SH COMMON STOCK 0 0 11200
01.10.2019 TAUBMAN CENTERS INC 245 6000 SH COMMON STOCK 0 0 6000
05.07.2016 DOLLAR GENERAL CORP 1955 20800 SH COMMON STOCK 0 0 20800
01.10.2018 GAMING AND LEISURE PROPERTIE 1005 28500 SH COMMON STOCK 0 0 28500
05.07.2016 DUPONT FABROS TECHNOLOGY 261 5500 SH COMMON STOCK 0 0 5500
02.07.2018 KILROY REALTY CORP 303 4000 SH COMMON STOCK 0 0 4000
01.04.2019 SPIRIT REALTY CAPITAL INC 612 15400 SH COMMON STOCK 0 0 15400
01.10.2018 STORE CAPITAL CORP 167 6000 SH COMMON STOCK 0 0 6000
01.07.2020 PPL CORP 1620 62700 SH COMMON STOCK 0 0 62700
01.07.2020 HIGHWOODS PROPERTIES INC 631 16898 SH COMMON STOCK 0 0 16898
03.04.2018 MARSH and MCLENNAN COS 2494 30200 SH COMMON STOCK 0 0 30200
05.07.2017 COLUMBIA PROPERTY TRUST INC 783 35000 SH COMMON STOCK 0 0 35000
31.03.2021 MACERICH CO/THE 102 8692 SH COMMON STOCK 0 0 8692
03.04.2017 HIGHWOODS PROPERTIES INC 707 14398 SH COMMON STOCK 0 0 14398
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03.01.2017 BRANDYWINE REALTY TRUST 982 59500 SH COMMON STOCK 0 0 59500
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06.01.2016 BRANDYWINE REALTY TRUST 813 59500 SH COMMON STOCK 0 0 59500
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14.04.2015 TIME WARNER CABLE 734 4900 SH COMMON STOCK 0 0 4900
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15.10.2015 ROSS STORES INC 1852 38200 SH COMMON STOCK 0 0 38200
14.04.2015 GOOGLE INC-CL A 1442 2600 SH COMMON STOCK 0 0 2600
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12.10.2016 ALPHABET INC-CL C 3964 5100 SH COMMON STOCK 0 0 5100
04.10.2017 CBS CORP-CLASS B NON VOTING 1636 28200 SH COMMON STOCK 0 0 28200
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03.04.2018 BAXTER INTERNATIONAL INC 2296 35300 SH COMMON STOCK 0 0 35300
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06.01.2020 EASTGROUP PROPERTIES INC 56 422 SH COMMON STOCK 0 0 422
02.01.2019 BOSTON PROPERTIES INC 654 5814 SH COMMON STOCK 0 0 5814
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03.01.2017 P G and E CORP 1884 31000 SH COMMON STOCK 0 0 31000
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05.07.2016 CYRUSONE INC 289 5200 SH COMMON STOCK 0 0 5200
15.10.2015 AMERICAN CAMPUS COMMUNITIES 906 25000 SH COMMON STOCK 0 0 25000
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02.07.2018 EQUITY RESIDENTIAL 1653 25953 SH COMMON STOCK 0 0 25953
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31.03.2021 ALLSTATE CORP 2137 18600 SH COMMON STOCK 0 0 18600
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02.07.2019 NATL HEALTH INVESTORS INC 741 9500 SH COMMON STOCK 0 0 9500
03.04.2017 OMNICOM GROUP 1595 18500 SH COMMON STOCK 0 0 18500
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04.10.2017 TANGER FACTORY OUTLET CENTER 769 31500 SH COMMON STOCK 0 0 31500
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05.10.2020 HERSHA HOSPITALITY TRUST 44 8000 SH COMMON STOCK 0 0 8000
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02.01.2019 EXPEDITORS INTL WASH INC 1552 22800 SH COMMON STOCK 0 0 22800
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31.03.2021 AMGEN INC 3309 13300 SH COMMON STOCK 0 0 13300
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