Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
SCOUT INVESTMENTS INC 07-10-2019 06-30-2019 266 5,181,557,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
AGNC INVESTMENT CORP REIT 1 $152,513,000 9,067,334 2.94 2.12 3,310,432 57.50
WEC ENERGY GROUP INCORPORATION COM 2 $141,084,000 1,692,263 2.72 1.48 777,086 84.91
XCEL ENERGY INC COM 3 $117,067,000 1,967,843 2.26 0.77 1,303,156 196.06
MARSH & MCLENNAN COMPANIES, INC. COM 4 $93,139,000 933,724 1.80 933,724 +Inf
CMS ENERGY CORPORATION COM 5 $87,346,000 1,508,302 1.69 1.00 633,549 72.43
6
SPLUNK INC COM 7 $75,499,000 600,392 1.46 0.99 212,442 54.76
MID-AMERICA APARTMENT COMMUNITIES, INC. REIT 8 $73,509,000 624,230 1.42 1.42 -8,918 -1.41
CENTENE CORPORATION COM 9 $72,925,000 1,390,635 1.41 0.26 1,147,152 471.14
ATMOS ENERGY CORPORATION COM 10 $71,415,000 676,538 1.38 1.13 140,789 26.28
HOST HOTELS & RESORTS INC REIT 11 $70,248,000 3,855,543 1.36 1.27 584,239 17.86
VOYA FINANCIAL INC COM 12 $68,987,000 1,247,501 1.33 2.39 -1,088,887 -46.61
UNITED RENTALS, INC. COM 13 $64,728,000 488,035 1.25 1.44 -125,420 -20.44
KIRKLAND LAKE GO COM 14 $64,072,000 1,492,823 1.24 0.51 667,712 80.92
ABIOMED INC COM 15 $59,196,000 227,247 1.14 0.68 110,435 94.54
SERVICENOW INC COM 16 $56,045,000 204,120 1.08 1.89 -170,753 -45.55
ADVANCED MICRO DEVICES, INC. COM 17 $55,709,000 1,834,351 1.08 1,834,351 +Inf
EPR PROPERTIES REIT 18 $55,138,000 739,215 1.06 1.19 -13,518 -1.80
ARISTA NETWORKS INC COM 19 $53,648,000 206,641 1.04 3.15 -282,685 -57.77
RBS CITIZENS FINANCIAL GROUP INC COM 20 $53,520,000 1,513,582 1.03 1.21 -311,189 -17.05
HARRIS CORPORATION COM 21 $52,427,000 277,200 1.01 277,200 +Inf
VALERO ENERGY CORPORATION COM 22 $52,201,000 609,759 1.01 1.24 -106,801 -14.90
ONE GAS, INC. COM 23 $51,025,000 565,066 0.98 0.96 39,744 7.57
24
AVALONBAY COMMUNITIES, INC. REIT 25 $48,088,000 236,676 0.93 0.99 -3,888 -1.62
FLOOR AND DECOR HOLDING INCORPORATION COM 26 $45,286,000 1,080,811 0.87 0.62 349,688 47.83
EVERCORE INC COM 27 $43,796,000 494,478 0.85 0.57 191,230 63.06
EBAY INC. COM 28 $43,674,000 1,105,671 0.84 0.68 214,954 24.13
W.R. BERKLEY CORPORATION COM 29 $43,418,000 658,549 0.84 0.78 208,969 46.48
SPIRIT AIRLINES COM 30 $43,012,000 901,161 0.83 0.19 728,431 421.72
31
EAGLE MATERIALS INC. COM 32 $41,927,000 452,290 0.81 0.17 353,180 356.35
ROSS STORES INC COM 33 $41,416,000 417,840 0.80 0.18 324,069 345.60
AMERICAN WATER WOR COM 34 $41,283,000 355,885 0.80 0.41 162,165 83.71
XYLEM, INC. COM 35 $39,803,000 475,883 0.77 0.97 -120,310 -20.18
COUSINS PROPERTIES INCORPORATED REIT 36 $39,547,000 1,093,367 0.76 1,093,367 +Inf
CASEYS GEN STORES COM 37 $38,499,000 246,804 0.74 0.36 109,619 79.91
38
OMEGA HEALTHCARE INVESTORS, INC. REIT 39 $37,159,000 1,011,131 0.72 0.89 -129,157 -11.33
PORTLAND GENERAL ELECTRIC COMPANY COM 40 $35,612,000 657,412 0.69 0.60 92,060 16.28
41
MADISON SQUARE GARDEN CO COM 42 $35,253,000 125,931 0.68 0.86 -16,946 -11.86
43
MASIMO CORPORATION COM 44 $34,653,000 232,854 0.67 0.95 -102,782 -30.62
45
ALASKA AIR GROUP, INC. COM 46 $33,206,000 519,568 0.64 0.29 271,110 109.12
ARCH CAPITAL GROUP LTD. COM 47 $33,069,000 891,841 0.64 0.35 365,924 69.58
DARDEN RESTAURANTS, INC. COM 48 $32,849,000 269,852 0.63 0.55 49,373 22.39
49
50
JETBLUE AIRWAYS CORPORATION COM 51 $32,652,000 1,765,927 0.63 0.62 -85,412 -4.61
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