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Institutional Investment Manager
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC (CIK: 0000898286), located at 1000 Place Jean-Paul Riopelle, Montreal, A8. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 664 holdings with a total value of $36,332,606,000.
#
Name
Shares
Value ($)
%
Options
Notes
251 NOBLE ENERGY INC 360,300 10,874,000 0.03%
252 MOBILE TELESYSTEMS PJSC 1,495,235 10,796,000 0.03%
253 ADOBE INC 129,800 10,672,000 0.03%
254 TE CONNECTIVITY LTD 177,800 10,648,000 0.03%
255 WELLTOWER INC 155,420 10,525,000 0.03%
256 PPG INDS INC 119,592 10,487,000 0.03%
257 LINCOLN ELEC HLDGS INC 200,000 10,486,000 0.03%
258 S&P GLOBAL INC 120,400 10,415,000 0.03%
259 EOG RES INC 142,600 10,381,000 0.03%
260 NETGEAR INC 355,547 10,371,000 0.03%
261 AVALONBAY COMM 58,660 10,255,000 0.03%
262 L BRANDS INC 113,500 10,230,000 0.03%
263 DEERE & CO 137,700 10,190,000 0.03%
264 NORFOLK SOUTHERN CORP 133,100 10,169,000 0.03%
265 PERRIGO CO PLC 64,600 10,160,000 0.03%
266 LAM RESEARCH CORP 154,862 10,117,000 0.03%
267 SEMPRA ENERGY 104,000 10,059,000 0.03%
268 ARMSTRONG WORLD INDS INC NEW COM 210,000 10,025,000 0.03%
269 BAKER HUGHES INC 192,544 10,020,000 0.03%
270 DISCOVER FINL SVCS 192,300 9,998,000 0.03%
271 CHIPOTLE MEXICAN GRILL INC 13,800 9,939,000 0.03%
272 JACOBS ENGR GROUP INC 264,700 9,908,000 0.03%
273 BOSTON SCIENTIFIC CORP 593,700 9,743,000 0.03%
274 TRAVELERS COMPANIES INC 97,500 9,704,000 0.03%
275 TIMKEN CO COM 350,000 9,622,000 0.03%
276 SYSCO CORP 244,400 9,524,000 0.03%
277 CONSTELLATION BRANDS INC 76,000 9,516,000 0.03%
278 ISHARES TR 350,000 9,450,000 0.03%
279 QUANTA SVCS INC 390,200 9,447,000 0.03%
280 DOLLAR GEN CORP NEW 130,200 9,432,000 0.03%
281 SPIRIT AEROSYSTEMS HLDGS INC 195,000 9,426,000 0.03%
282 PUBLIC SVC ENTERPRISE GRP IN 223,500 9,423,000 0.03%
283 COMCAST CORP NEW 162,700 9,313,000 0.03%
284 ARCBEST CORP COM 360,000 9,277,000 0.03%
285 TRIUMPH GROUP INC NEW COM 220,000 9,258,000 0.03%
286 OWENS CORNING NEW 220,000 9,220,000 0.03%
287 ACTUANT CORP 500,000 9,195,000 0.03%
288 ARCH CAP GROUP LTD 125,000 9,184,000 0.03%
289 MONSTER BEVERAGE CORP NEW 67,177 9,078,000 0.02%
290 EDISON INTL 143,900 9,076,000 0.02%
291 SWIFT TRANSN CO 600,000 9,012,000 0.02%
292 PROLOGIS INC 231,500 9,005,000 0.02%
293 BRIGGS & STRATTON CORP 465,000 8,979,000 0.02%
294 FISERV INC 103,600 8,973,000 0.02%
295 MOOG INC CL A 165,000 8,922,000 0.02%
296 ROSS STORES INC 182,800 8,860,000 0.02%
297 ALLISON TRANSMISSION HLDGS INC COM 330,000 8,808,000 0.02%
298 MASTEC INC 555,000 8,786,000 0.02%
299 ARGO GROUP INTERNATIONAL 154,500 8,743,000 0.02%
300 KENNAMETAL INC 350,000 8,712,000 0.02%
Page 6 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-15-041225, filed 2015.11.13).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.