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State Street Corp  (STT)
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    Sector  Financial    Industry Regional Banks
 
 
 

STT's vs. Suppliers, Data

(Revenue and Income for Trailing 12 Months, in Millions of $, except Employees)



COMPANY NAME TICKER MARKET CAP REVENUES INCOME EMPLOYEES
State Street Corp STT 41,255 10,975 1,942 29,970
News Corp NWS 9,945 8,232 -526 25,000
Accenture Plc ACN 106,006 37,814 3,764 275,000
Nyse Euronext NYX 0 0 0 0
Cme Group Inc. CME 52,904 3,658 1,498 2,680
Intercontinental Exchange, Inc. ICE 44,891 4,325 1,293 2,902
Nasdaq, Inc. NDAQ 13,651 3,914 262 3,687
American Express Company AXP 86,620 28,342 4,758 62,800
Western Union Co WU 9,564 5,458 209 9,000
Mastercard Inc MA 179,723 12,087 4,724 10,300
Discover Financial Services DFS 29,861 7,163 2,275 14,676
Citigroup Inc C 210,912 71,206 15,724 241,000
Bank Of America Corp BAC 342,572 87,878 21,437 224,000
Visa Inc. V 294,413 18,358 6,699 8,500
Convergys Corp. CVG 2,249 2,861 130 0
Cognizant Technology Solutions Corp CTSH 46,152 14,444 1,937 211,500
ELECTRONIC DATA SYSTEMS CORP. EDS 0 0 0 0
Equifax Inc EFX 15,175 3,325 548 7,500
Ncr Corp NCR 5,599 6,536 339 30,200
Adobe Systems Inc ADBE 98,999 6,903 1,592 12,499
BMC SOFTWARE, INC. BMC 0 0 0 0
Ca, Inc. CA 14,444 4,039 721 11,600
Dell Inc. DELL 0 0 0 0
Fiserv Inc FISV 30,071 5,611 915 21,000
Hp Inc. HPQ 40,140 52,056 2,526 302,000
International Business Machines Corp IBM 151,743 78,368 11,308 379,592
Lexmark International Inc LXK 0 0 0 12,700
MCGRAW-HILL COMPANIES, INC. MHP 0 0 0 0
Moodys Corp MCO 31,147 3,981 554 9,900
Netapp, Inc. NTAP 17,468 5,632 647 12,810
Oracle Corporation ORCL 217,191 38,906 9,914 132,000
Pitney Bowes Inc PBI 2,365 3,388 92 10,600
Unisys Corp UIS 452 2,719 -120 23,200
Deluxe Corp DLX 0 0 0 5,328
Salesforce Com Inc CRM 83,325 9,923 8 16,000
Fidelity National Information Services, Inc. FIS 33,328 9,240 571 40,000
S&p Global Inc. MHFI 0 5,874 1,909 17,000
Federal Home Loan Mortgage Corp FMCC 6,824 24,593 13,511 5,416
Federal National Mortgage Association Fannie Mae FNMA 11,927 27,696 14,031 7,600
Federal Home Loan Bank Of New York FHLBNY 0 635 457 273
Investment Technology Group, Inc. ITG 703 477 -31 1,037
Euronet Worldwide Inc EEFT 5,317 2,155 218 5,600
Bgc Partners, Inc. BGCP 6,764 2,950 178 7,841
United States Brent Oil Fund, Lp BNO 130 1 7 11
United States Short Oil Fund, Lp DNO 8 0 0 1
Boston Capital Tax Credit Fund Iv Lp BCTC4 0 0 15 1
Boston Capital Tax Credit Fund V Lp BCTC5 0 0 -3 1
Boston Capital Tax Credit Fund Ltd Partnership BCTCI 0 0 0 0
Boston Capital Tax Credit Fund Iii L P BCTCIII 0 0 0 1
Cboe Global Markets, Inc. CBOE 15,075 1,783 189 564
Nuveen Diversified Commodity Fund CFD 0 0 0 1
Powershares Db Commodity Index Tracking Fund DBC 0 53 35 1
Ishares Commodity Optimized Trust CMDT 24 0 0 1
Cowen Inc. COWN 456 577 58 769
Nuveen Long CTF 0 0 0 1
Powershares Db Agriculture Fund DBA 0 -36 -43 1
Powershares Db Base Metals Fund DBB 0 68 66 1
Powershares Db Energy Fund DBE 0 1 0 1
Powershares Db Oil Fund DBO 0 6 2 1
Powershares Db Precious Metals Fund DBP 0 -3 2 1
Powershares Db Silver Fund DBS 0 -11 -11 1
Powershares Db Gold Fund DGL 0 -20 -22 1
Powershares Db G10 Currency Harvest Fund DBV 0 -2 -2 1
Currencyshares Australian Dollar Trust FXA 167 2 1 1
Currencyshares British Pound Sterling Trust FXB 237 0 -1 1
Currencyshares Chinese Renminbi Trust FXCH 8 0 0 1
Currencyshares Euro Trust FXE 345 0 -2 1
Currencyshares Swiss Franc Trust FXF 157 0 -2 1
Currencyshares Swedish Krona Trust FXS 24 0 0 1
Currencyshares South African Rand Trust FXSA 0 0 0 0
Currencyshares Singapore Dollar Trust FXSG 4 0 0 1
Currencyshares Japanese Yen Trust FXY 115 0 -1 1
Fastfunds Financial Corp FFFC 0 0 0 36
Futures Portfolio Fund L.p. FPF 11 -70 -89 1
Wisdomtree Continuous Commodity Index Master Fund GCC 0 -6 -7 1
Gain Capital Holdings, Inc. GCAP 378 702 14 772
Spdr Gold Trust GLD 35,116 -136 -1,894 1
Ishares S&p Gsci Commodity-indexed Trust GSG 1,358 7 17 1
Ishares Gold Trust IAU 9,230 28 -352 1
Indo Global Exchange(s) Pte, Ltd. IGEX 0 0 0 1
Intl Fcstone Inc. INTL 826 -40,148 37 1,231
Kcg Holdings, Inc. KCG 1,353 1,364 222 1,006
Marketaxess Holdings Inc MKTX 7,935 386 145 342
Morningstar, Inc. MORN 4,304 881 168 3,930
Currencyshares Canadian Dollar Trust FXC 187 0 0 1
Seneca Global Fund, L.p. SENE 0 0 0 1
Ishares Silver Trust SLV 5,698 -41 -230 1
Wisdomtree Coal Fund TONS 0 0 0 1
Powershares Db Us Dollar Index Bearish Fund UDN 0 1 0 1
Powershares Db Us Dollar Index Bullish Fund UUP 0 5 0 1
Net 1 Ueps Technologies Inc UEPS 661 607 69 5,701
United States Gasoline Fund, Lp UGA 79 2 1 1
United States Diesel-heating Oil Fund, Lp UHN 4 0 0 1
United States 12 Month Natural Gas Fund, Lp UNL 11 1 1 1
United States Commodity Index Funds Trust USCI 550 -6 -24 1
United States 12 Month Oil Fund, Lp USL 142 1 0 1
United States Oil Fund, Lp USO 3,486 64 42 1
Value Line Inc VALU 190 35 6 178
Virtu Financial, Inc. VIRT 1,485 758 53 148
Oppenheimer Holdings Inc OPY 391 871 0 3,290
Proshares Trust Ii VIXY 0 -460 -535 1
Xoom Corp XOOM 0 0 0 295
Everi Holdings Inc. EVRI 523 949 -35 900
Green Dot Corp GDOT 3,306 840 72 1,012
Blackhawk Network Holdings, Inc HAWK 2,566 2,070 -2 2,331
Cpi Card Group Inc. PMTS 185 257 -11 1,386
Synchrony Financial SYF 30,501 10,226 2,231 12,000
Transunion TRU 11,229 1,915 261 4,200
Atlantic American Corp AAME 75 172 3 147
American Equity Investment Life Holding Co AEL 3,104 3,275 259 490
American National Insurance Co ANAT 3,456 3,326 212 4,736
Citizens Inc CIA 395 253 6 620
Fbl Financial Group Inc FFG 1,847 737 6 1,637
Fidelity & Guaranty Life FGL 1,813 1,585 243 220
First Trinity Financial Corp. FTFC 0 31 4 9
Emergent Capital, Inc.. IFT 0 23 -24 32
Kansas City Life Insurance Co KCLI 0 0 0 436
National Security Group Inc NSEC 43 66 -2 1
National Western Life Group, Inc. NWLI 1,191 811 94 261
Protective Life Corp PL 0 4,394 314 2,541
Phoenix Companies Inc PNX 0 0 0 630
Symetra Financial Corporation SYA 0 0 0 1,400
Utg Inc UTGN 84 21 -2 42
Voya Financial, Inc. VOYA 9,986 9,901 -200 7,000
Amerinst Insurance Group Ltd AIGT 0 15 1 22
China United Insurance Service, Inc. CUII 108 77 9 2,239
Horace Mann Educators Corp HMN 1,855 1,153 64 1,350
United Fire Group Inc UFCS 1,131 1,142 17 1,057
Veritec Inc VRTC 2 0 -1 3
Diebold Nixdorf, Inc DBD 1,363 4,603 -178 16,000
Verifone Systems, Inc. PAY 2,065 1,871 -175 5,900
Midwest Holding Inc. MIDH 0 4 -5 0
SUBTOTAL 2,369,419 617,729 125,166 2,249,659
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