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Fund Holdings of TEACHERS ADVISORS INC Filed on 2012-02-10

Link to Original SEC 13F filings sorted on filing date: 2012-02-10 | 2011-11-14 | 2011-08-10 | 2011-05-10 | 2011-02-09 | 2010-11-12 | 2010-08-10 | 2010-05-11 | 2010-02-11 | 2009-11-06 | 2009-08-06 | 2009-05-12 | 2009-02-12 | 2008-11-14 | 2008-08-14 | 2008-05-14 |

1. Fund Information

Fund NameTEACHERS ADVISORS INC
Fund Manager
Address730 THIRD AVENUE,
NEW YORK, NY, 10017-3206
::Google Map
Phone(212) 916-6042
13F Asset Last Qtr$19,543,441,590
13F Asset This Qtr$23,329,596,000
Asset Change19.37%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Port.
1.)APPLE INC CS1,027,234$416,030New1.78%
2.)EXXON MOBIL CORP.XOM4,171,193$353,550Added 9.18%1.52%
3.)CHEVRON CORPORATIONCVX2,571,010$273,555Added 11.10%1.17%
4.)PFIZER INCPFE11,993,145$259,532Added 3.44%1.11%
5.)GOOGLE INC.GOOG385,191$248,795Added 11.09%1.07%
6.)SIMON PROPERTY GROUP, INC.SPG1,820,364$234,718Added 8.28%1.01%
7.)PROCTER & GAMBLE CO.PG3,294,369$219,767Added 8.36%0.94%
8.)WELLS FARGO & CO.WFC7,780,915$214,442Added 6.55%0.92%
9.)GENERAL ELECTRIC COGE11,109,401$198,969Added 9.16%0.85%
10.)INTERNATIONAL BUSINESS MACHINES CORP.IBM1,037,363$190,750Added 16.09%0.82%
11.)VERIZON COMMUNICATIONS INCVZ4,382,759$175,836Added 10.96%0.75%
12.)MICROSOFT CORPORATIONMSFT6,603,919$171,438Added 21.78%0.73%
13.)AT&T INCT5,324,402$161,010Added 13.83%0.69%
14.)JOHNSON & JOHNSONJNJ2,437,017$159,820Added 2.32%0.69%
15.)INTEL CORPORATIONINTC6,260,383$151,814Added 1.70%0.65%
16.)PHILIP MORRIS INTERNATIONAL INC COMMON STOCKPM1,881,020$147,622Added 9.24%0.63%
17.)CISCO SYSTEMS, INC.CSCO7,768,277$140,450Added 13.08%0.60%
18.)JPMORGAN CHASE & CO.JPM4,202,181$139,723Added 6.65%0.60%
19.)COCA-COLA CO (THE)KO1,970,990$137,910Added 8.56%0.59%
20.)BOSTON PROPERTIES, INC.BXP1,335,400$133,006Added 4.29%0.57%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)APPLE INC CS1,027,234$416,0301.78%
2.)BOEING CO/THE CS1,492,819$109,4980.47%
3.)ANADARKO PETROLEUM CORP CS1,404,423$107,2000.46%
4.)BERKSHIRE HATHAWAY INC CS1,265,194$96,5340.41%
5.)AMAZON.COM INC CS475,021$82,2260.35%
6.)ABBOTT LABORATORIES CS1,312,061$73,7770.32%
7.)AVALONBAY COMMUNITIES INC RTCS559,472$73,0670.31%
8.)AMERICAN TOWER CORP RTCS1,172,447$70,3590.30%
9.)ALLERGAN INC/UNITED STATES CS713,948$62,6420.27%
10.)BANK OF AMERICA CORP CS9,976,439$55,4690.24%
11.)BAXTER INTERNATIONAL INC CS955,620$47,2840.20%
12.)ALEXION PHARMACEUTICALS INC CS657,650$47,0220.20%
13.)BED BATH & BEYOND INC CS737,203$42,7360.18%
14.)AMGEN INC CS662,912$42,5660.18%
15.)ASHLAND INC CS706,338$40,3740.17%
16.)AMERICAN EXPRESS CO CS837,446$39,5020.17%
17.)AON CORP CS744,137$34,8260.15%
18.)APACHE CORP CS383,702$34,7560.15%
19.)BMC SOFTWARE INC CS1,052,282$34,4940.15%
20.)ANNALY CAPITAL MANAGEMENT INC RTCS1,999,196$31,9070.14%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)APPLE INC.AAPL954,135$363,6971.86%
2.)AMAZON.COM, INC.AMZN574,602$124,2460.64%
3.)BERKSHIRE HATHAWAY INC. CL B BRK-B1,099,769$78,1280.40%
4.)ANADARKO PETROLEUM CORPAPC1,187,767$74,8890.38%
5.)BOEING CO. (THE)BA1,059,132$64,0880.33%
6.)ALLERGAN, INCAGN741,437$61,0800.31%
7.)ABBOTT LABORATORIESABT1,188,729$60,7920.31%
8.)AVALONBAY COMMUNITIES, INC.AVB521,794$59,5110.31%
9.)BANK OF AMERICA CORP.BAC9,234,890$56,5180.29%
10.)AMERICAN TOWER CORP.AMT966,414$51,9930.27%
11.)BAXTER INTERNATIONAL INC.BAX925,127$51,9370.27%
12.)TARGET CORPTGT1,048,186$51,4030.26%
13.)AMGEN INC.AMGN767,586$42,1790.22%
14.)BED BATH & BEYOND INC.BBBY709,003$40,6330.21%
15.)AMERICAN EXPRESS CO.AXP883,462$39,6670.20%
16.)EDWARDS LIFESCIENCES CORPEW548,435$39,0920.20%
17.)ALEXION PHARMACEUTICALS, INC.ALXN558,828$35,7990.18%
18.)ANNALY CAPITAL MANAGEMENT INCNLY1,864,028$30,9990.16%
19.)BMC SOFTWARE, INC.BMC788,541$30,4060.16%
20.)HANSEN NATURAL CORPORATIONHANS322,043$28,1110.14%