The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ABBOTT LABORATORIESCOMMON STOCK002824100288,5247,511,701SH DFND1,27,511,70100
ABBVIE INCCOMMON STOCK00287Y10910,956,230174,963,752SH DFND1,2174,963,75200
ABM INDUSTRIES INCCOMMON STOCK00095710067,9991,665,000SH DFND1,21,665,00000
ACCENTURE PLC CL ACOMMON STOCKG1151C1013,325,15228,388,559SH DFND1,228,388,55900
ADECOAGRO SACOMMON STOCKL0084910611,7811,135,000SH DFND1,21,135,00000
AGRIUM INCCOMMON STOCK008916108845,1548,405,733SH DFND1,28,405,73300
AIR LEASE CORP CL ACOMMON STOCK00912X302120,9103,522,000SH DFND1,23,522,00000
AKAMAI TECHNOLOGIES INCCOMMON STOCK00971T101618,3039,272,694SH DFND1,29,272,69400
ALBEMARLE CORPCOMMON STOCK012653101356,6664,143,421SH DFND1,24,143,42100
ALEXANDRIA REAL ESTATE EQ INC (REIT)COMMON STOCK01527110996,159865,283SH DFND1,2865,28300
ALEXION PHARMACEUTICALS INCCOMMON STOCK015351109891,9807,290,400SH DFND1,27,290,40000
ALGONQUIN POWER & UTILITIES CORPCOMMON STOCK01585710528,4463,353,200SH DFND1,23,353,20000
ALIBABA GROUP HOLDING LTD ADRCOMMON STOCK01609W1023,543,09240,349,522SH DFND1,240,349,52200
ALLEGIANT TRAVEL COCOMMON STOCK01748X10256,506339,578SH DFND1,2339,57800
ALPHABET INC CL ACOMMON STOCK02079K3052,763,9283,487,826SH DFND1,23,487,82600
ALPHABET INC CL CCOMMON STOCK02079K1073,445,9024,464,645SH DFND1,24,464,64500
ALTRIA GROUP INCCOMMON STOCK02209S1034,606,72868,126,708SH DFND1,268,126,70800
AMAZON.COM INCCOMMON STOCK0231351068,042,97010,725,819SH DFND1,210,725,81900
AMERICAN AXLE & MANUFACTURING HLDGS INCCOMMON STOCK02406110313,645707,000SH DFND1,2707,00000
AMERICAN CAMPUS COMMUNITIES INC (REIT)COMMON STOCK024835100317,4736,378,800SH DFND1,26,378,80000
AMERICAN ELECTRIC POWER CO INCCOMMON STOCK02553710190,3481,435,000SH DFND1,21,435,00000
AMERICAN INTERNATIONAL GROUP INCCOMMON STOCK0268747845,089,35777,926,159SH DFND1,277,926,15900
AMERICAN TOWER CORP (REIT)COMMON STOCK03027X100261,2902,472,467SH DFND1,22,472,46700
AMGEN INCCOMMON STOCK0311621009,574,14865,482,167SH DFND1,265,482,16700
AMPHENOL CORP CL ACOMMON STOCK032095101187,4292,789,119SH DFND1,22,789,11900
ANALOG DEVICES INCCOMMON STOCK032654105145,2141,999,640SH DFND1,21,999,64000
APACHE CORPCOMMON STOCK0374111051,031,99216,259,528SH DFND1,216,259,52800
APPLE INCCOMMON STOCK0378331002,560,54222,107,944SH DFND1,222,107,94400
APPLIED MATERIALS INCCOMMON STOCK038222105498,24915,440,000SH DFND1,215,440,00000
APTARGROUP INCCOMMON STOCK038336103169,3032,305,004SH DFND1,22,305,00400
ARAMARKCOMMON STOCK03852U106569,55915,945,100SH DFND1,215,945,10000
ARISTA NETWORKS INCCOMMON STOCK040413106675,4226,979,662SH DFND1,26,979,66200
ASML HOLDING NV (USD)COMMON STOCKN0705921019SH DFND1,2900
AT&T INCCOMMON STOCK00206R1022,958,77169,569,037SH DFND1,269,569,03700
ATHENAHEALTH INCCOMMON STOCK04685W103283,0472,691,329SH DFND1,22,691,32900
AUTODESK INCCOMMON STOCK052769106305,6624,130,005SH DFND1,24,130,00500
AUTONATION INCCOMMON STOCK05329W102291,9006,000,000SH DFND1,26,000,00000
AVON PRODUCTS INCCOMMON STOCK054303102268,92753,358,441SH DFND1,253,358,44100
AXOVANT SCIENCES LTDCOMMON STOCKG0750W10454,1374,358,827SH DFND1,24,358,82700
BAIDU INC A ADRCOMMON STOCK056752108277,7621,689,450SH DFND1,21,689,45000
BAKER HUGHES INCCOMMON STOCK05722410799,2091,527,002SH DFND1,21,527,00200
BANCO BILBAO VIZCAYA ARGENTARIA SA ADRCOMMON STOCK05946K1012,286337,643SH DFND1,2337,64300
BANK OF AMERICA CORPCOMMON STOCK060505104286,68112,972,000SH DFND1,212,972,00000
BANK OF HAWAII CORPCOMMON STOCK06254010927,728312,643SH DFND1,2312,64300
BANK OF MONTREALCOMMON STOCK063671101961,20313,363,980SH DFND1,213,363,98000
BARRICK GOLD CORPCOMMON STOCK06790110836,1722,262,751SH DFND1,22,262,75100
BB&T CORPORATIONCOMMON STOCK054937107787,72016,752,880SH DFND1,216,752,88000
BCE INCCOMMON STOCK05534B760374,0308,654,000SH DFND1,28,654,00000
BELMOND LTD CL ACOMMON STOCKG1154H107104,4247,822,000SH DFND1,27,822,00000
BENCHMARK ELECTRONICS INCCOMMON STOCK08160H1011,97964,900SH DFND1,264,90000
BERKSHIRE HATHAWAY INC CL BCOMMON STOCK0846707021,614,0139,903,133SH DFND1,29,903,13300
BHP BILLITON PLC ADRCOMMON STOCK05545E20949,8641,585,000SH DFND1,21,585,00000
BIOMARIN PHARMACEUTICAL INCCOMMON STOCK09061G1011,627,23019,643,043SH DFND1,219,643,04300
BLACKLINE INCCOMMON STOCK09239B10912,434450,000SH DFND1,2450,00000
BLUE BUFFALO PET PRODUCTS INCCOMMON STOCK09531U10269,7142,899,910SH DFND1,22,899,91000
BLUEBIRD BIO INCCOMMON STOCK09609G100290,7954,713,042SH DFND1,24,713,04200
BOEING COCOMMON STOCK0970231053,025,60119,434,746SH DFND1,219,434,74600
BORGWARNER INCCOMMON STOCK099724106616,77315,638,259SH DFND1,215,638,25900
BOSTON SCIENTIFIC CORPCOMMON STOCK101137107228,62910,570,006SH DFND1,210,570,00600
BP PLC ADRCOMMON STOCK05562210452,9341,416,092SH DFND1,21,416,09200
BRINKER INTL INCCOMMON STOCK109641100101,1152,041,500SH DFND1,22,041,50000
BRISTOL-MYERS SQUIBB COCOMMON STOCK11012210865,7451,125,000SH DFND1,21,125,00000
BROADCOM LTDCOMMON STOCKY098271095,612,17031,748,432SH DFND1,231,748,43200
BWX TECHNOLOGIES INCCOMMON STOCK05605H10088,9722,241,100SH DFND1,22,241,10000
CABLE ONE INCCOMMON STOCK12685J105128,387206,499SH DFND1,2206,49900
CABOT OIL & GAS CORPCOMMON STOCK127097103206,5028,840,000SH DFND1,28,840,00000
CAE INCCOMMON STOCK124765108130,4749,328,061SH DFND1,29,328,06100
CANADIAN NATURAL RESOURCES LTDCOMMON STOCK1363851014,162,288130,600,406SH DFND1,2130,600,40600
CAPITAL ONE FINANCIAL CORPCOMMON STOCK14040H105314,8873,609,430SH DFND1,23,609,43000
CARDCONNECT CORPCOMMON STOCK14141X10819,3421,523,000SH DFND1,21,523,00000
CARE CAPITAL PROPERTIES INC (REIT)COMMON STOCK14162410610,444417,750SH DFND1,2417,75000
CARLISLE COMPANIES INCCOMMON STOCK14233910057,241519,000SH DFND1,2519,00000
CARRIZO OIL & GAS INCCOMMON STOCK144577103212,0355,676,973SH DFND1,25,676,97300
CATERPILLAR INCCOMMON STOCK1491231011,511,49316,298,180SH DFND1,216,298,18000
CATHAY GENERAL BANCORPCOMMON STOCK14915010438,0301,000,000SH DFND1,21,000,00000
CEDAR FAIR LPCOMMON STOCK150185106187,6892,923,500SH DFND1,22,923,50000
CELANESE CORPORATION SERIES ACOMMON STOCK150870103995,90412,648,009SH DFND1,212,648,00900
CEMEX SAB DE CV CPO UNIT ADR (2 A SHRS PLUS 1 B SHR)COMMON STOCK15129088921,8492,720,962SH DFND1,22,720,96200
CENTENE CORPCOMMON STOCK15135B10128,085497,000SH DFND1,2497,00000
CENTURYLINK INCCOMMON STOCK156700106462,87319,464,810SH DFND1,219,464,81000
CH ROBINSON WORLDWIDE INCCOMMON STOCK12541W209567,4257,745,355SH DFND1,27,745,35500
CHARLES SCHWAB CORPCOMMON STOCK808513105489,94112,413,000SH DFND1,212,413,00000
CHART INDUSTRIES INCCOMMON STOCK16115Q30812,607350,000SH DFND1,2350,00000
CHENIERE ENERGY INCCOMMON STOCK16411R20846,4251,120,564SH DFND1,21,120,56400
CHESAPEAKE ENERGY CORPCOMMON STOCK165167107227,95932,472,814SH DFND1,232,472,81400
CHEVRON CORPCOMMON STOCK1667641001,671,72414,203,265SH DFND1,214,203,26500
CHINA BIOLOGIC PRODUCTS INCCOMMON STOCK16938C106350,1383,256,496SH DFND1,23,256,49600
CHINA ZENIX AUTO INTERNATIONAL LTD ADRCOMMON STOCK16951E1043,0712,580,500SH DFND1,22,580,50000
CIMAREX ENERGY COCOMMON STOCK171798101185,2431,363,085SH DFND1,21,363,08500
CISCO SYSTEMS INCCOMMON STOCK17275R102599,14819,826,206SH DFND1,219,826,20600
CIT GROUP INCCOMMON STOCK125581801650,59715,243,600SH DFND1,215,243,60000
CITIGROUP INCCOMMON STOCK1729674241,032,65517,375,987SH DFND1,217,375,98700
CLEAN HARBORS INCCOMMON STOCK18449610785,6731,539,500SH DFND1,21,539,50000
CLUBCORP HOLDINGS INCCOMMON STOCK18948M10812,728887,000SH DFND1,2887,00000
CME GROUP INC CL ACOMMON STOCK12572Q105141,5341,227,000SH DFND1,21,227,00000
CMS ENERGY CORPCOMMON STOCK125896100453,92010,906,300SH DFND1,210,906,30000
COCA-COLA COCOMMON STOCK1912161002,724,60865,716,545SH DFND1,265,716,54500
COGNEX CORPCOMMON STOCK19242210351,609811,202SH DFND1,2811,20200
COMCAST CORP CL ACOMMON STOCK20030N101757,77810,974,338SH DFND1,210,974,33800
CONAGRA BRANDS INCCOMMON STOCK205887102526,69213,317,106SH DFND1,213,317,10600
CONCHO RESOURCES INCCOMMON STOCK20605P1012,009,87815,157,451SH DFND1,215,157,45100
CONMED CORPCOMMON STOCK20741010155,2441,250,719SH DFND1,21,250,71900
CONOCOPHILLIPSCOMMON STOCK20825C1041,026,20320,466,746SH DFND1,220,466,74600
COSTCO WHOLESALE CORPCOMMON STOCK22160K1051,479,4449,240,171SH DFND1,29,240,17100
CRAY INCCOMMON STOCK22522330488,4324,272,068SH DFND1,24,272,06800
CROWN CASTLE INTL CORP (REIT)COMMON STOCK22822V1012,567,84329,593,672SH DFND1,229,593,67200
CRYOLIFE INCCOMMON STOCK22890310054,2222,831,429SH DFND1,22,831,42900
CSX CORPCOMMON STOCK1264081032,004,08555,777,489SH DFND1,255,777,48900
CTRIP.COM INTL ADRCOMMON STOCK22943F10039,081977,016SH DFND1,2977,01600
CULLEN/FROST BANKERS INCCOMMON STOCK22989910920,181228,727SH DFND1,2228,72700
CUMMINS INCCOMMON STOCK231021106695,5465,089,237SH DFND1,25,089,23700
CVS HEALTH CORPCOMMON STOCK12665010064,627819,000SH DFND1,2819,00000
CYPRESS SEMICONDUCTOR CORPCOMMON STOCK23280610971,3066,233,000SH DFND1,26,233,00000
DANAHER CORPCOMMON STOCK235851102393,5605,056,013SH DFND1,25,056,01300
DENBURY RESOURCES INCCOMMON STOCK247916208136,74437,158,795SH DFND1,237,158,79500
DEVON ENERGY CORPCOMMON STOCK25179M1039,134200,000SH DFND1,2200,00000
DINEEQUITY INCCOMMON STOCK254423106146,4171,901,520SH DFND1,21,901,52000
DIPLOMAT PHARMACY INCCOMMON STOCK25456K10111,071878,616SH DFND1,2878,61600
DOMINION RESOURCES INCCOMMON STOCK25746U1092,463,04732,158,853SH DFND1,232,158,85300
DOMINION RESOURCES INC CV PFD SER A EQUITY UNITS 6.375PERCENT 07-01-17CONV PREFRD STCK25746U86990,1081,800,000SH DFND1,21,800,00000
DOMINION RESOURCES INC CV PFD SERIES A EQUITY UNITS 6.75PERCENT 08-15-19CONV PREFRD STCK25746U836195,0783,855,302SH DFND1,23,855,30200
DOMINO'S PIZZA INCCOMMON STOCK25754A201285,8841,795,300SH DFND1,21,795,30000
DONNELLEY FINANCIAL SOLUTIONS INCCOMMON STOCK25787G1006,397278,381SH DFND1,2278,38100
DOW CHEMICAL COCOMMON STOCK260543103832,45614,548,348SH DFND1,214,548,34800
DR HORTON INCCOMMON STOCK23331A109182,7016,685,000SH DFND1,26,685,00000
DUKE ENERGY CORPCOMMON STOCK26441C2041,053,49013,572,410SH DFND1,213,572,41000
EAST WEST BANCORP INCCOMMON STOCK27579R104493,0049,699,085SH DFND1,29,699,08500
EDWARDS LIFESCIENCES CORPCOMMON STOCK28176E108406,3434,336,638SH DFND1,24,336,63800
EMBRAER SA ON ADR (EMBRAER)COMMON STOCK29082A1078,412436,985SH DFND1,2436,98500
EMERSON ELECTRIC COCOMMON STOCK291011104599,67210,756,441SH DFND1,210,756,44100
ENBRIDGE INCCOMMON STOCK29250N105495,23711,768,671SH DFND1,211,768,67100
ENDO INTERNATIONAL PLCCOMMON STOCKG30401106258,11315,671,728SH DFND1,215,671,72800
ENI SPA ADRCOMMON STOCK26874R1088,161253,148SH DFND1,2253,14800
EOG RESOURCES INCCOMMON STOCK26875P1013,958,22139,151,547SH DFND1,239,151,54700
EROS INTERNATIONAL PLC CL ACOMMON STOCKG3788M11468,9995,330,740SH DFND1,25,330,74000
ESSENT GROUP LTDCOMMON STOCKG3198U102293,6939,072,989SH DFND1,29,072,98900
EVERTEC INCCOMMON STOCK30040P10332,7311,844,000SH DFND1,21,844,00000
EXA CORPCOMMON STOCK30061450017,9731,170,100SH DFND1,21,170,10000
EXACT SCIENCES CORPORATIONCOMMON STOCK30063P1057,909592,020SH DFND1,2592,02000
EXELON CORPCOMMON STOCK30161N1011,269,14835,760,733SH DFND1,235,760,73300
EXELON CORP CV PFD EQUITY UNITS 6.5PERCENT 06-01-17CONV PREFRD STCK30161N12729,046600,000SH DFND1,2600,00000
EXPRESS SCRIPTS HOLDING COCOMMON STOCK30219G1081,001,76914,562,709SH DFND1,214,562,70900
EXTRA SPACE STORAGE INC (REIT)COMMON STOCK30225T102114,2161,478,716SH DFND1,21,478,71600
EXXON MOBIL CORPCOMMON STOCK30231G1022,929,29732,453,987SH DFND1,232,453,98700
FERRARI NV (EUR)COMMON STOCKN3167Y10367,3471,157,633SH DFND1,21,157,63300
FIFTH THIRD BANCORPCOMMON STOCK31677310048,5461,800,000SH DFND1,21,800,00000
FINISAR CORPCOMMON STOCK31787A507387,91912,815,288SH DFND1,212,815,28800
FIRST DATA CORP CL ACOMMON STOCK32008D106121,9038,590,768SH DFND1,28,590,76800
FIRST HAWAIIAN INCCOMMON STOCK32051X10877,7652,233,335SH DFND1,22,233,33500
FIVE BELOW INCCOMMON STOCK33829M101110,1752,757,120SH DFND1,22,757,12000
FLEX LTDCOMMON STOCKY2573F102773,74453,844,422SH DFND1,253,844,42200
FORD MOTOR COCOMMON STOCK345370860242,60020,000,000SH DFND1,220,000,00000
FORTIVE CORPCOMMON STOCK34959J108124,0722,313,477SH DFND1,22,313,47700
FREEPORT-MCMORAN INCCOMMON STOCK35671D8571,971,018149,432,776SH DFND1,2149,432,77600
GAMING AND LEISURE PROPERTIES INC (REIT)COMMON STOCK36467J108362,46611,837,557SH DFND1,211,837,55700
GENERAC HOLDINGS INCCOMMON STOCK368736104203,4514,993,877SH DFND1,24,993,87700
GENERAL DYNAMICS CORPCOMMON STOCK3695501082,777,49716,086,509SH DFND1,216,086,50900
GENERAL ELECTRIC COCOMMON STOCK3696041032,397,39175,866,803SH DFND1,275,866,80300
GENERAL MILLS INCCOMMON STOCK370334104428,4486,936,179SH DFND1,26,936,17900
GENERAL MOTORS COMPANYCOMMON STOCK37045V100700,17120,096,768SH DFND1,220,096,76800
GILEAD SCIENCES INCCOMMON STOCK3755581031,773,96224,772,541SH DFND1,224,772,54100
GOLAR LNG LTD (USD)COMMON STOCKG9456A100268,54011,706,182SH DFND1,211,706,18200
GOLDMAN SACHS GROUP INCCOMMON STOCK38141G1042,187,9249,137,290SH DFND1,29,137,29000
GRAHAM HOLDINGS CO CL BCOMMON STOCK38463710480,347156,943SH DFND1,2156,94300
GRAND CANYON EDUCATION INCCOMMON STOCK38526M10649,478846,500SH DFND1,2846,50000
GREAT WESTERN BANCORP INCCOMMON STOCK39141610428,647657,203SH DFND1,2657,20300
GRIDSUM HOLDING INC CL B ADRCOMMON STOCK39813210010,2411,005,000SH DFND1,21,005,00000
GRIFOLS SA B ADRCOMMON STOCK398438408158,5709,867,472SH DFND1,29,867,47200
GRUPO FINANCIERO GALICIA B ADRCOMMON STOCK39990910026,843997,126SH DFND1,2997,12600
GRUPO FINANCIERO SANTANDER MEXICO B ADRCOMMON STOCK40053C10570,1039,750,000SH DFND1,29,750,00000
GRUPO TELEVISA SAB CPO ADRCOMMON STOCK40049J206169,5118,114,474SH DFND1,28,114,47400
GW PHARMACEUTICALS PLC ADRCOMMON STOCK36197T103337,2173,017,604SH DFND1,23,017,60400
HALLIBURTON COCOMMON STOCK4062161013,315,41961,294,490SH DFND1,261,294,49000
HASBRO INCCOMMON STOCK418056107357,4504,595,065SH DFND1,24,595,06500
HCP INC (REIT)COMMON STOCK40414L109202,6906,820,000SH DFND1,26,820,00000
HDFC BANK LTD ADRCOMMON STOCK40415F101283,9084,678,774SH DFND1,24,678,77400
HERBALIFE LTDCOMMON STOCKG4412G101374,8917,787,521SH DFND1,27,787,52100
HOLOGIC INCCOMMON STOCK436440101546,28813,616,359SH DFND1,213,616,35900
HOME DEPOT INCCOMMON STOCK4370761022,661,40919,849,408SH DFND1,219,849,40800
HOSPITALITY PROPERTIES TRUST (REIT)COMMON STOCK44106M102156,8274,941,000SH DFND1,24,941,00000
HOWARD HUGHES CORP (THE)COMMON STOCK44267D107158,7321,391,165SH DFND1,21,391,16500
HSBC HOLDINGS PLC ADRCOMMON STOCK40428040687,7062,182,837SH DFND1,22,182,83700
HUDBAY MINERALS INCCOMMON STOCK44362810263,49211,100,000SH DFND1,211,100,00000
HUMANA INCCOMMON STOCK444859102726,3803,560,162SH DFND1,23,560,16200
HUNTINGTON INGALLS INDUSTRIES INCCOMMON STOCK44641310616,48589,500SH DFND1,289,50000
HUNTSMAN CORPCOMMON STOCK44701110725,0631,313,600SH DFND1,21,313,60000
ICICI BANK LTD ADRCOMMON STOCK45104G10414,6141,951,075SH DFND1,21,951,07500
II-VI INCCOMMON STOCK90210410877,3452,608,601SH DFND1,22,608,60100
ILLINOIS TOOL WORKS INCCOMMON STOCK4523081091,001,3638,177,059SH DFND1,28,177,05900
ILLUMINA INCCOMMON STOCK4523271091,773,19213,848,732SH DFND1,213,848,73200
INDEPENDENCE CONTRACT DRILLING INCCOMMON STOCK45341530930,8944,611,000SH DFND1,24,611,00000
INFINERA CORPCOMMON STOCK45667G10328,0593,305,000SH DFND1,23,305,00000
INPHI CORPCOMMON STOCK45772F107217,9174,883,834SH DFND1,24,883,83400
INSULET CORPCOMMON STOCK45784P101203,9105,411,633SH DFND1,25,411,63300
INTEGRA LIFESCIENCES HOLDINGCOMMON STOCK45798520879,905931,400SH DFND1,2931,40000
INTEL CORPCOMMON STOCK4581401004,029,071111,085,497SH DFND1,2111,085,49700
INTERCONTINENTAL EXCHANGE INCCOMMON STOCK45866F10463,6491,128,125SH DFND1,21,128,12500
INTERNATIONAL BUSINESS MACHINES CORPCOMMON STOCK4592001011,628,6759,811,886SH DFND1,29,811,88600
INTERNATIONAL FLAVORS & FRAGRANCES INCCOMMON STOCK459506101705,6185,988,445SH DFND1,25,988,44500
INTEROIL CORPCOMMON STOCK460951106263,2955,533,740SH DFND1,25,533,74000
INTUITCOMMON STOCK461202103594,7415,189,263SH DFND1,25,189,26300
IRHYTHM TECHNOLOGIES INCCOMMON STOCK45005610635,4181,180,600SH DFND1,21,180,60000
ITT INCCOMMON STOCK45073V108374,5159,710,009SH DFND1,29,710,00900
J.B. HUNT TRANSPORT SERVICES INCCOMMON STOCK445658107440,2634,535,519SH DFND1,24,535,51900
J.M. SMUCKER COCOMMON STOCK83269640577,159602,524SH DFND1,2602,52400
JOHNSON & JOHNSONCOMMON STOCK478160104834,1887,240,585SH DFND1,27,240,58500
JOHNSON CONTROLS INTERNATIONAL PLCCOMMON STOCKG51502105324,0787,867,874SH DFND1,27,867,87400
JPMORGAN CHASE & COCOMMON STOCK46625H1002,710,08331,406,685SH DFND1,231,406,68500
JUNIPER NETWORKS INCCOMMON STOCK48203R104989,98635,031,356SH DFND1,235,031,35600
KELLOGG COCOMMON STOCK487836108231,1373,135,757SH DFND1,23,135,75700
KEMPER CORPORATIONCOMMON STOCK48840110074,6011,684,000SH DFND1,21,684,00000
KEYCORPCOMMON STOCK493267108326,96017,895,992SH DFND1,217,895,99200
KEYW HOLDING CORP (THE)COMMON STOCK49372310042,2843,586,400SH DFND1,23,586,40000
KIMBERLY-CLARK CORPCOMMON STOCK494368103285,3002,500,000SH DFND1,22,500,00000
KINDER MORGAN INCCOMMON STOCK49456B101368,92717,813,951SH DFND1,217,813,95100
KINDER MORGAN INC CV PFD SER A DEP SHARE (REP 1/20 SER A 9.75PERCENT PFD) 10-26-18CONV PREFRD STCK49456B200177,8443,655,574SH DFND1,23,655,57400
KITE PHARMA INCCOMMON STOCK49803L109273,9626,109,771SH DFND1,26,109,77100
KKR & CO LPCOMMON STOCK48248M102217,54814,135,660SH DFND1,214,135,66000
KOSMOS ENERGY LTDCOMMON STOCKG5315B107167,36123,874,568SH DFND1,223,874,56800
KRAFT HEINZ CO (THE)COMMON STOCK5007541061,008,42311,548,593SH DFND1,211,548,59300
KROGER COCOMMON STOCK5010441013,565,229103,310,022SH DFND1,2103,310,02200
LAM RESEARCH CORPCOMMON STOCK5128071081,05710,000SH DFND1,210,00000
LAMAR ADVERTISING CO CL A (REIT)COMMON STOCK512816109544,5038,097,900SH DFND1,28,097,90000
LAMB WESTON HOLDINGS INCCOMMON STOCK513272104185,4564,899,764SH DFND1,24,899,76400
LANDS' END INCCOMMON STOCK51509F10541,2392,722,068SH DFND1,22,722,06800
LANDSTAR SYSTEM INCCOMMON STOCK515098101202,8092,377,600SH DFND1,22,377,60000
LAREDO PETROLEUM INCCOMMON STOCK516806106173,72412,286,000SH DFND1,212,286,00000
LAS VEGAS SANDS CORPCOMMON STOCK5178341071,593,66129,838,253SH DFND1,229,838,25300
LENNAR CORP CL ACOMMON STOCK5260571044,293100,000SH DFND1,2100,00000
LEUCADIA NATIONAL CORPCOMMON STOCK527288104195,3308,401,292SH DFND1,28,401,29200
LIONS GATE ENTERTAINMENT CORP CL ACOMMON STOCK53591940190,9423,380,750SH DFND1,23,380,75000
LIONS GATE ENTERTAINMENT CORP CL BCOMMON STOCK53591950082,9643,380,750SH DFND1,23,380,75000
LIVANOVA PLCCOMMON STOCKG5509L10174,2011,650,000SH DFND1,21,650,00000
LKQ CORPCOMMON STOCK501889208119,8973,911,800SH DFND1,23,911,80000
LOCKHEED MARTIN CORPCOMMON STOCK5398301092,244,8518,981,560SH DFND1,28,981,56000
LOWES COMPANIES INCCOMMON STOCK54866110717,780250,000SH DFND1,2250,00000
LSC COMMUNICATIONS INCCOMMON STOCK50218P10720,759699,418SH DFND1,2699,41800
LULULEMON ATHLETICA INCCOMMON STOCK550021109832,97712,817,005SH DFND1,212,817,00500
LUMENTUM HOLDINGS INCCOMMON STOCK55024U109249,0046,442,534SH DFND1,26,442,53400
M&T BANK CORPCOMMON STOCK55261F104708,5434,529,458SH DFND1,24,529,45800
MARKEL CORPCOMMON STOCK570535104307,530340,000SH DFND1,2340,00000
MARRIOTT INTERNATIONAL INC CL ACOMMON STOCK571903202983,67311,897,353SH DFND1,211,897,35300
MARSH & MCLENNAN COMPANIES INCCOMMON STOCK571748102237,4403,512,942SH DFND1,23,512,94200
MASTERCARD INC CL ACOMMON STOCK57636Q1041,121,83710,865,251SH DFND1,210,865,25100
MCDONALDS CORPCOMMON STOCK5801351011,351,09211,100,003SH DFND1,211,100,00300
MCKESSON CORPCOMMON STOCK58155Q1031,946,48613,858,928SH DFND1,213,858,92800
MEAD JOHNSON NUTRITION COCOMMON STOCK582839106761,27610,758,562SH DFND1,210,758,56200
MEDTRONIC PLCCOMMON STOCKG5960L1032,657,22137,304,796SH DFND1,237,304,79600
MELCO CROWN ENTERTAINMENT LTD ADRCOMMON STOCK585464100241,29515,175,776SH DFND1,215,175,77600
MELLANOX TECHNOLOGIES LTDCOMMON STOCKM5136311333,906829,000SH DFND1,2829,00000
MERCK & CO INCCOMMON STOCK58933Y105421,9217,166,988SH DFND1,27,166,98800
MERCURY GENERAL CORPCOMMON STOCK58940010096,3361,600,000SH DFND1,21,600,00000
MESOBLAST LTD ADRCOMMON STOCK5907171042,432452,800SH DFND1,2452,80000
METLIFE INCCOMMON STOCK59156R108317,9005,899,051SH DFND1,25,899,05100
MGM GROWTH PROPERTIES LLC CL A (REIT)COMMON STOCK55303A105109,7774,337,313SH DFND1,24,337,31300
MGM RESORTS INTERNATIONALCOMMON STOCK552953101863,92029,966,000SH DFND1,229,966,00000
MICROSOFT CORPCOMMON STOCK5949181041,398,10122,499,205SH DFND1,222,499,20500
MONDELEZ INTERNATIONAL INCCOMMON STOCK609207105509,60011,495,605SH DFND1,211,495,60500
MONSANTO COCOMMON STOCK61166W101279,4292,655,918SH DFND1,22,655,91800
MOOG INC CL ACOMMON STOCK61539420234,029518,100SH DFND1,2518,10000
MOTOROLA SOLUTIONS INCCOMMON STOCK620076307353,4504,264,086SH DFND1,24,264,08600
MOUNTAIN PROVINCE DIAMONDS INCCOMMON STOCK62426E40224,8464,964,264SH DFND1,24,964,26400
MULTI PACKAGING SOLUTIONS INTL LTDCOMMON STOCKG6331W10924,0411,685,886SH DFND1,21,685,88600
MYRIAD GENETICS INCCOMMON STOCK62855J10420,7421,244,300SH DFND1,21,244,30000
NANTKWEST INC (PHYSICAL)COMMON STOCK63016Q10215,2212,660,990SH DFND1,22,660,99000
NETFLIX INCCOMMON STOCK64110L1066,411,75651,791,241SH DFND1,251,791,24100
NEW YORK COMMUNITY BANCORP INCCOMMON STOCK64944510354,4123,420,000SH DFND1,23,420,00000
NEXTERA ENERGY INCCOMMON STOCK65339F101139,3131,166,191SH DFND1,21,166,19100
NEXTERA ENERGY INC CV PFD EQUITY UNITS 6.123PERCENT 09-01-19CONV PREFRD STCK65339F820176,3283,600,000SH DFND1,23,600,00000
NIELSEN HOLDINGS PLCCOMMON STOCKG6518L1081,163,01527,723,831SH DFND1,227,723,83100
NII HOLDINGS INCCOMMON STOCK62913F5085,2982,464,163SH DFND1,22,464,16300
NIKE INC CL BCOMMON STOCK6541061031,110,99821,857,127SH DFND1,221,857,12700
NMI HOLDINGS INC CL ACOMMON STOCK62920930514,3241,345,000SH DFND1,21,345,00000
NOBLE ENERGY INCCOMMON STOCK6550441051,985,19352,159,568SH DFND1,252,159,56800
NORDSON CORPCOMMON STOCK655663102383,2123,420,005SH DFND1,23,420,00500
NORFOLK SOUTHERN CORPCOMMON STOCK655844108534,8394,949,003SH DFND1,24,949,00300
NOVADAQ TECHNOLOGIES INC (USD)COMMON STOCK66987G10213,7781,943,273SH DFND1,21,943,27300
NOVARTIS AG NAMEN ADRCOMMON STOCK66987V109164,5092,258,500SH DFND1,22,258,50000
NRG ENERGY INCCOMMON STOCK62937750820,0241,633,283SH DFND1,21,633,28300
NUVASIVE INCCOMMON STOCK670704105324,9444,823,995SH DFND1,24,823,99500
OLD DOMINION FREIGHT LINE INCCOMMON STOCK679580100542,7266,326,211SH DFND1,26,326,21100
OLD REPUBLIC INTL CORPCOMMON STOCK68022310441,8152,200,800SH DFND1,22,200,80000
OMNICOM GROUP INCCOMMON STOCK681919106281,5503,308,071SH DFND1,23,308,07100
ON SEMICONDUCTOR CORPCOMMON STOCK68218910563,7284,994,382SH DFND1,24,994,38200
ORACLE CORPCOMMON STOCK68389X1055,872,899152,741,207SH DFND1,2152,741,20700
OSHKOSH CORPCOMMON STOCK68823920181,7961,266,000SH DFND1,21,266,00000
PACWEST BANCORPCOMMON STOCK69526310314,227261,342SH DFND1,2261,34200
PALO ALTO NETWORKS INCCOMMON STOCK69743510542,758341,930SH DFND1,2341,93000
PAMPA ENERGIA SA ADRCOMMON STOCK69766020757,8061,660,618SH DFND1,21,660,61800
PANERA BREAD CO CL ACOMMON STOCK69840W108443,8232,164,040SH DFND1,22,164,04000
PAPA MURPHY'S HOLDINGS INCCOMMON STOCK6988141003,214761,497SH DFND1,2761,49700
PAYCHEX INCCOMMON STOCK70432610760,8801,000,000SH DFND1,21,000,00000
PAYCOM SOFTWARE INCCOMMON STOCK70432V10234,015747,750SH DFND1,2747,75000
PENSKE AUTO GROUP INCCOMMON STOCK70959W10394,1161,815,500SH DFND1,21,815,50000
PEPSICO INCCOMMON STOCK713448108830,1647,934,284SH DFND1,27,934,28400
PERKINELMER INCCOMMON STOCK714046109387,8127,436,468SH DFND1,27,436,46800
PERRIGO CO PLCCOMMON STOCKG97822103350,8404,215,302SH DFND1,24,215,30200
PETROLEO BRASILEIRO PN ADR (PETROBRAS)COMMON STOCK71654V10152,5265,962,107SH DFND1,25,962,10700
PFIZER INCCOMMON STOCK71708110348,7201,500,000SH DFND1,21,500,00000
PHILIP MORRIS INTERNATIONALCOMMON STOCK7181721096,736,47373,630,703SH DFND1,273,630,70300
PIONEER NATURAL RESOURCES COCOMMON STOCK7237871071,365,2917,582,003SH DFND1,27,582,00300
PLAINS GP HOLDINGS LP CL ACOMMON STOCK72651A207138,9004,005,181SH DFND1,24,005,18100
PNC FINANCIAL SERVICES GROUP INCCOMMON STOCK6934751051,005,4728,596,713SH DFND1,28,596,71300
POLARIS INDUSTRIES INCCOMMON STOCK731068102189,4972,300,000SH DFND1,22,300,00000
POLYONE CORPCOMMON STOCK73179P10662,1451,939,600SH DFND1,21,939,60000
POTASH CORP OF SASKATCHEWAN INC (USD)COMMON STOCK73755L107101,3585,603,000SH DFND1,25,603,00000
PPL CORPCOMMON STOCK69351T10651,8291,522,150SH DFND1,21,522,15000
PRAXAIR INCCOMMON STOCK74005P104584,6244,988,683SH DFND1,24,988,68300
PRICELINE GROUP INC (THE)COMMON STOCK7415034032,029,4361,384,279SH DFND1,21,384,27900
PRICESMART INCCOMMON STOCK74151110914,529174,000SH DFND1,2174,00000
PRINCIPAL FINANCIAL GROUPCOMMON STOCK74251V102897,52415,512,000SH DFND1,215,512,00000
PROCTER & GAMBLE COCOMMON STOCK742718109719,7028,559,730SH DFND1,28,559,73000
PROGRESSIVE CORPCOMMON STOCK743315103856,54124,127,915SH DFND1,224,127,91500
PROTO LABS INCCOMMON STOCK74371310923,965466,700SH DFND1,2466,70000
PRUDENTIAL FINANCIAL INCCOMMON STOCK7443201021,253,43412,045,305SH DFND1,212,045,30500
PUBLIC STORAGE (REIT)COMMON STOCK74460D109251,6611,126,000SH DFND1,21,126,00000
QIAGEN NVCOMMON STOCKN7248212363,3932,259,565SH DFND1,22,259,56500
QORVO INCCOMMON STOCK74736K101965,88318,317,530SH DFND1,218,317,53000
QUALCOMM INCCOMMON STOCK747525103608,7709,336,956SH DFND1,29,336,95600
R.R. DONNELLEY & SONS COCOMMON STOCK25786720036,1692,216,233SH DFND1,22,216,23300
RALPH LAUREN CORP CL ACOMMON STOCK751212101230,3162,550,003SH DFND1,22,550,00300
RANGE RESOURCES CORPCOMMON STOCK75281A109316,7999,219,991SH DFND1,29,219,99100
REGIONS FINANCIAL CORPCOMMON STOCK7591EP100145,16110,108,700SH DFND1,210,108,70000
RESTAURANT BRANDS INTERNATIONAL INC(USD)COMMON STOCK76131D103104,0702,183,583SH DFND1,22,183,58300
REYNOLDS AMERICAN INCCOMMON STOCK7617131062,091,11737,314,727SH DFND1,237,314,72700
ROCKWELL AUTOMATION INCCOMMON STOCK77390310960,480450,000SH DFND1,2450,00000
ROGERS COMMUNICATIONS INC CL B N/VCOMMON STOCK7751092005,412140,300SH DFND1,2140,30000
ROYAL BANK OF CANADACOMMON STOCK780087102768,23111,351,000SH DFND1,211,351,00000
ROYAL CARIBBEAN CRUISES LTDCOMMON STOCKV7780T10341,020500,000SH DFND1,2500,00000
ROYAL DUTCH SHELL PLC A ADRCOMMON STOCK780259206416,8157,664,855SH DFND1,27,664,85500
ROYAL DUTCH SHELL PLC B ADRCOMMON STOCK780259107106,2531,832,900SH DFND1,21,832,90000
RSP PERMIAN INCCOMMON STOCK74978Q10512,172272,800SH DFND1,2272,80000
RYANAIR HOLDINGS PLC ADRCOMMON STOCK783513203702,7928,440,928SH DFND1,28,440,92800
SALESFORCE.COM INCCOMMON STOCK79466L302633,2979,250,615SH DFND1,29,250,61500
SBA COMMUNICATIONS CORP (REIT)COMMON STOCK78410G10450,494489,000SH DFND1,2489,00000
SCHLUMBERGER LTDCOMMON STOCK806857108925,54011,024,899SH DFND1,211,024,89900
SEMPRA ENERGYCOMMON STOCK816851109987,5809,812,995SH DFND1,29,812,99500
SEMTECH CORPCOMMON STOCK81685010125,587811,000SH DFND1,2811,00000
SENSATA TECHNOLOGIES HOLDING NVCOMMON STOCKN7902X106421,14010,812,316SH DFND1,210,812,31600
SERVICEMASTER GLOBAL HOLDINGS INCCOMMON STOCK81761R109313,8298,331,000SH DFND1,28,331,00000
SHERWIN-WILLIAMS COCOMMON STOCK82434810644,611166,000SH DFND1,2166,00000
SHORETEL INCCOMMON STOCK8252111055,934829,999SH DFND1,2829,99900
SIGNATURE BANKCOMMON STOCK82669G104423,7982,821,559SH DFND1,22,821,55900
SIGNET JEWELERS LTDCOMMON STOCKG81276100309,5503,284,000SH DFND1,23,284,00000
SILICON LABORATORIES INCCOMMON STOCK82691910261,694949,138SH DFND1,2949,13800
SIMON PROPERTY GROUP INC (REIT)COMMON STOCK828806109102,161575,002SH DFND1,2575,00200
SIX FLAGS ENTERTAINMENT CORPCOMMON STOCK83001A102615,46310,264,558SH DFND1,210,264,55800
SKYWORKS SOLUTIONS INCCOMMON STOCK83088M1021,719,01623,024,590SH DFND1,223,024,59000
SM ENERGY COCOMMON STOCK78454L100249,8407,245,940SH DFND1,27,245,94000
SONUS NETWORKS INCCOMMON STOCK83591650329,8574,739,200SH DFND1,24,739,20000
SOUTHERN COCOMMON STOCK842587107812,27816,513,074SH DFND1,216,513,07400
SOUTHWESTERN ENERGY COMPANYCOMMON STOCK845467109499,78946,191,261SH DFND1,246,191,26100
SOUTHWESTERN ENERGY COMPANY CV PFD SER B DEP SHR(1/20 6.25PERCENT SER B PFD) 01-15-18CONV PREFRD STCK845467208100,7513,955,683SH DFND1,23,955,68300
SPECTRA ENERGY CORPCOMMON STOCK847560109394,9619,612,087SH DFND1,29,612,08700
SPIRIT AIRLINES INCCOMMON STOCK84857710234,716600,000SH DFND1,2600,00000
SPROUTS FARMERS MARKET INCCOMMON STOCK85208M102175,5969,280,965SH DFND1,29,280,96500
ST JUDE MEDICALCOMMON STOCK790849103335,1774,179,788SH DFND1,24,179,78800
STATE STREET CORPCOMMON STOCK857477103448,3675,769,006SH DFND1,25,769,00600
STEEL DYNAMICS INCCOMMON STOCK85811910021,063592,000SH DFND1,2592,00000
STILLWATER MINING COCOMMON STOCK86074Q10264,1433,981,542SH DFND1,23,981,54200
STRYKER CORPCOMMON STOCK8636671014,114,75134,343,973SH DFND1,234,343,97300
SUNCOR ENERGY INCCOMMON STOCK8672241073,010,56392,075,903SH DFND1,292,075,90300
SVB FINANCIAL GROUPCOMMON STOCK78486Q101143,114833,704SH DFND1,2833,70400
SYNTEL INCCOMMON STOCK87162H103126,1176,372,788SH DFND1,26,372,78800
T-MOBILE US INCCOMMON STOCK872590104473,3198,230,205SH DFND1,28,230,20500
TARENA INTERNATIONAL INC CL A ADRCOMMON STOCK87610810125,3531,691,298SH DFND1,21,691,29800
TEAM HEALTH HOLDINGS INCCOMMON STOCK87817A107176,1154,053,270SH DFND1,24,053,27000
TECK RESOURCES LTD CL B S/VCOMMON STOCK878742204428,03121,388,000SH DFND1,221,388,00000
TELEFLEX INCCOMMON STOCK879369106103,636643,100SH DFND1,2643,10000
TELUS CORPCOMMON STOCK87971M103431,82513,562,078SH DFND1,213,562,07800
TESLA MOTORS INCCOMMON STOCK88160R101140,416657,100SH DFND1,2657,10000
TEVA PHARMACEUTICAL INDUSTRIES LTD ADRCOMMON STOCK8816242091,609,38244,396,747SH DFND1,244,396,74700
TEXAS CAPITAL BANCSHARES INCCOMMON STOCK88224Q10784,3311,075,647SH DFND1,21,075,64700
TEXAS INSTRUMENTS INCCOMMON STOCK8825081044,676,01764,081,361SH DFND1,264,081,36100
TEXAS ROADHOUSE INCCOMMON STOCK882681109264,2665,478,146SH DFND1,25,478,14600
TEXTRON INCCOMMON STOCK883203101848,30317,469,176SH DFND1,217,469,17600
THERMO FISHER SCIENTIFIC INCCOMMON STOCK8835561021,995,79814,144,566SH DFND1,214,144,56600
TIME WARNER INCCOMMON STOCK887317303976,68010,117,894SH DFND1,210,117,89400
TJX COMPANIES INC (THE)COMMON STOCK872540109203,4982,708,617SH DFND1,22,708,61700
TOLL BROTHERS INCCOMMON STOCK88947810368,9752,225,000SH DFND1,22,225,00000
TORONTO DOMINION BANK (THE)COMMON STOCK891160509718,80014,574,100SH DFND1,214,574,10000
TRANSCANADA CORPCOMMON STOCK89353D107743,91116,498,392SH DFND1,216,498,39200
TRANSOCEAN LTD (USD)COMMON STOCKH8817H10022,8321,548,973SH DFND1,21,548,97300
TRAVELCENTERS OF AMERICA LLCCOMMON STOCK89417410114,3692,023,750SH DFND1,22,023,75000
TRIMBLE INCCOMMON STOCK896239100590,70219,592,097SH DFND1,219,592,09700
TWENTY-FIRST CENTURY FOX INC CL A (LIMITED VOTING)COMMON STOCK90130A1011,970,33470,268,698SH DFND1,270,268,69800
TWENTY-FIRST CENTURY FOX INC CL BCOMMON STOCK90130A2007,930291,000SH DFND1,2291,00000
UBS GROUP AGCOMMON STOCKH420971071,710,353109,253,117SH DFND1,2109,253,11700
ULTRAGENYX PHARMACEUTICAL INCCOMMON STOCK90400D108351,8925,004,859SH DFND1,25,004,85900
UNION PACIFIC CORPCOMMON STOCK9078181084,433,01642,756,715SH DFND1,242,756,71500
UNITED PARCEL SERVICE INC CL BCOMMON STOCK91131210652,734460,000SH DFND1,2460,00000
UNITED STATES STEEL CORPCOMMON STOCK91290910854,2271,642,738SH DFND1,21,642,73800
UNITED TECHNOLOGIES CORPCOMMON STOCK913017109889,5888,115,197SH DFND1,28,115,19700
UNITEDHEALTH GROUP INCCOMMON STOCK91324P1024,084,79625,523,597SH DFND1,225,523,59700
US BANCORPCOMMON STOCK902973304923,95617,986,288SH DFND1,217,986,28800
VAIL RESORTS INCCOMMON STOCK91879Q10959,875371,181SH DFND1,2371,18100
VALE SA ON ADRCOMMON STOCK91912E105215,00028,215,166SH DFND1,228,215,16600
VALE SA PNA ADRCOMMON STOCK91912E2041,265,021183,602,433SH DFND1,2183,602,43300
VALERO ENERGY CORPCOMMON STOCK91913Y10054,656800,000SH DFND1,2800,00000
VALMONT INDUSTRIES INCCOMMON STOCK920253101106,943759,000SH DFND1,2759,00000
VALSPAR CORPORATION (THE)COMMON STOCK92035510452,836509,950SH DFND1,2509,95000
VANTIV INC CL ACOMMON STOCK92210H105527,5778,849,000SH DFND1,28,849,00000
VENTAS INC (REIT)COMMON STOCK92276F100298,1374,768,660SH DFND1,24,768,66000
VERIZON COMMUNICATIONS INCCOMMON STOCK92343V1047,543,974141,325,849SH DFND1,2141,325,84900
VIACOM INC CL BCOMMON STOCK92553P2011,492,23142,513,714SH DFND1,242,513,71400
VIAVI SOLUTIONS INCCOMMON STOCK925550105119,95414,664,274SH DFND1,214,664,27400
VISA INC CL ACOMMON STOCK92826C839796,22210,205,356SH DFND1,210,205,35600
WEATHERFORD INTERNATIONAL PLCCOMMON STOCKG48833100178,78035,827,617SH DFND1,235,827,61700
WEATHERFORD INTERNATIONAL PLC CV SR UNSEC 5.875PERCENT 07-01-21CORP CONV BOND947075AH041,32538,000,000PRN DFND1,238,000,00000
WEBSTER FINANCIAL CORPCOMMON STOCK947890109238,9414,401,999SH DFND1,24,401,99900
WEINGARTEN REALTY INVESTORS (REIT)COMMON STOCK94874110328,632800,000SH DFND1,2800,00000
WELLS FARGO & COCOMMON STOCK9497461011,390,94725,239,466SH DFND1,225,239,46600
WESTERN UNION COCOMMON STOCK9598021091,419,33565,346,913SH DFND1,265,346,91300
WEYERHAEUSER CO (REIT)COMMON STOCK962166104134,1074,456,862SH DFND1,24,456,86200
WHOLE FOODS MARKET INCCOMMON STOCK966837106150,6624,898,000SH DFND1,24,898,00000
WILLIAMS-SONOMA INCCOMMON STOCK969904101243,2085,026,006SH DFND1,25,026,00600
WPP PLC ADRCOMMON STOCK92937A10203SH DFND1,2300
WYNDHAM WORLDWIDE CORPCOMMON STOCK98310W108897,74011,755,139SH DFND1,211,755,13900
WYNN RESORTS LTDCOMMON STOCK98313410744,795517,800SH DFND1,2517,80000
XCEL ENERGY INCCOMMON STOCK98389B100147,1313,615,000SH DFND1,23,615,00000
XILINX INCCOMMON STOCK983919101621,27810,291,169SH DFND1,210,291,16900
YANDEX NV ACOMMON STOCKN9728410814,948742,588SH DFND1,2742,58800
YPF SOCIEDAD ANONIMA D ADRCOMMON STOCK98424510011,144675,419SH DFND1,2675,41900
YUM CHINA HOLDINGS INCCOMMON STOCK98850P10981,3883,115,940SH DFND1,23,115,94000
YUM! BRANDS INCCOMMON STOCK988498101159,2352,514,362SH DFND1,22,514,36200
YY INC CL A ADRCOMMON STOCK98426T10653,4921,356,981SH DFND1,21,356,98100
ZEBRA TECH CORP CL ACOMMON STOCK989207105491,9905,736,827SH DFND1,25,736,82700