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Institutional Investment Manager
STATE OF MICHIGAN RETIREMENT SYSTEM
STATE OF MICHIGAN RETIREMENT SYSTEM (CIK: 0000762152), located at Michigan Dept. Of Treasury, Lansing, MI. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0000762152-15-000002) filed in 2015.02.03
#
Name
Shares
Value ($)
%
Options
Notes
701 LUMEN TECHNOLOGIES INC 235,051 9,303 0.06%
702 INTL PAPER CO 174,461 9,348 0.06%
703 MACYS INC 142,202 9,350 0.06%
704 ALCOA INC 187,000 9,434 0.06%
705 SYSCO CORP 242,159 9,611 0.06%
706 BROADCOM CORP CL A 221,870 9,614 0.06%
707 DEVON ENERGY CORP NEW 158,411 9,696 0.06%
708 PERRIGO CO PLC 58,014 9,698 0.06%
709 PACCAR INC 145,866 9,920 0.07%
710 PPL CORP 273,950 9,953 0.07%
711 S&P GLOBAL INC 111,857 9,953 0.07%
712 WESTERN DIGITAL CORP 89,967 9,959 0.07%
713 BAKER HUGHES INC 178,229 9,993 0.07%
714 Spectra Energy Corp Com 276,359 10,032 0.07%
715 Chubb Corporation 97,148 10,052 0.07%
716 AMERIPRISE FINL INC 76,048 10,057 0.07%
717 CUMMINS INC 70,024 10,095 0.07%
718 WPP PLC NEW 97,000 10,098 0.07%
719 INTERCONTINENTAL EXCHANGE IN 46,376 10,170 0.07%
720 Welltower Inc. 134,977 10,214 0.07%
721 MARATHON PETE CORP 115,443 10,420 0.07%
722 PG&E CORP 195,741 10,421 0.07%
723 AVAGO TECHNOLOGIES LTD SHS 104,200 10,481 0.07%
724 TE CONNECTIVITY LTD 167,496 10,594 0.07%
725 SEMPRA ENERGY 95,194 10,601 0.07%
726 VALERO ENERGY CORP NEW 214,660 10,626 0.07%
727 V F CORP 142,336 10,661 0.07%
728 EQUITY RESIDENTIAL 149,267 10,723 0.07%
729 NOVARTIS A G 115,800 10,730 0.07%
730 TC PIPELINES LP 151,000 10,754 0.07%
731 CROWN CASTLE INTL CORP NEW 137,504 10,822 0.07%
732 INTUIT 117,568 10,839 0.07%
733 CBS CORP NEW 196,367 10,867 0.07%
734 CARDINAL HEALTH INC 136,331 11,006 0.07%
735 NATIONAL GRID PLC 156,048 11,026 0.07%
736 PUBLIC STORAGE 59,741 11,043 0.07%
737 PRICE T ROWE GROUP INC 128,893 11,067 0.07%
738 CIGNA CORPORATION 107,780 11,092 0.07%
739 AON PLC 117,419 11,135 0.07%
740 ENTERPRISE PRODS PARTNERS L 311,000 11,233 0.07%
741 AFLAC INC 185,609 11,339 0.08%
742 VANGUARD TAX-MANAGED FDS 300,000 11,364 0.08%
743 ISHARES MSCI 360,000 11,401 0.08%
744 AIR PRODS & CHEMS INC 79,202 11,423 0.08%
745 CONAGRA BRANDS INC 315,955 11,463 0.08%
746 BB&T CORP 296,741 11,540 0.08%
747 CME GROUP INC 130,381 11,558 0.08%
748 STRYKER CORP 123,092 11,611 0.08%
749 ECOLAB INC 111,253 11,628 0.08%
750 VERTEX PHARMACEUTICALS INC 99,100 11,773 0.08%
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