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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 (2016Q2)
Portfolio Summary: 754 holdings with a total value of $38,897,295,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 STERICYCLE INC 20,517 2,136,000 0.01%
152 ANSYS 23,700 2,151,000 0.01%
153 BROADRIDGE FINL SOLUTIONS IN 33,100 2,158,000 0.01%
154 ENERSYS 37,000 2,200,000 0.01%
155 EQUINIX INC 5,716 2,216,000 0.01%
156 ILLUMINA INC 15,795 2,217,000 0.01%
157 YY INC 65,700 2,225,000 0.01%
158 MACERICH CO 26,069 2,226,000 0.01%
159 EVEREST RE GROUP LTD 12,400 2,265,000 0.01%
160 NEW YORK CMNTY BANCORP INC 151,300 2,268,000 0.01%
161 DICKS SPORTING GOODS INC 51,300 2,312,000 0.01%
162 PATTERSON COS INC 48,300 2,313,000 0.01%
163 KIMCO RLTY CORP 73,769 2,315,000 0.01%
164 CINCINNATI FINL CORP 30,955 2,318,000 0.01%
165 EQUIFAX INC 18,071 2,320,000 0.01%
166 NORWEGIAN CRUISE LINE HLDG L 58,800 2,343,000 0.01%
167 MARIN SOFTWARE INC 1,000,000 2,350,000 0.01%
168 Ashland Inc New 20,600 2,364,000 0.01%
169 REALTY INCOME CORP 34,224 2,374,000 0.01%
170 TRIMBLE INC 97,500 2,375,000 0.01%
171 MURPHY USA INC COM 32,250 2,392,000 0.01%
172 QUNAR CAYMN ISLND ADR REP 3 CL B ORD 80,400 2,395,000 0.01%
173 FIDELITY NATIONAL FINANCIAL 64,400 2,415,000 0.01%
174 HILTON WORLDWIDE 107,300 2,417,000 0.01%
175 DENTSPLY SIRONA INC 39,008 2,420,000 0.01%
176 ENSCO PLC 250,000 2,428,000 0.01%
177 PARSLEY ENERGY CLA A 90,000 2,435,000 0.01%
178 ENVISION HEALTHCARE HLDGS INC 96,200 2,441,000 0.01%
179 MASCO CORP 79,008 2,445,000 0.01%
180 VOYA FINANCIAL INC 99,400 2,461,000 0.01%
181 QIAGEN NV 113,678 2,462,000 0.01%
182 CELANESE CORP DEL 37,800 2,474,000 0.01%
183 EQT CORP 32,037 2,481,000 0.01%
184 AUTODESK INC 46,090 2,495,000 0.01%
185 CINTAS CORP 25,467 2,499,000 0.01%
186 QUINTILES IMS HOLDINGS INC 38,400 2,508,000 0.01%
187 NORTHERN TRUST 37,908 2,512,000 0.01%
188 ZIMMER BIOMET HLDGS INC 20,900 2,516,000 0.01%
189 BOSTON PROPERTIES INC 19,146 2,525,000 0.01%
190 A10 NETWORKS INC 393,238 2,544,000 0.01%
191 FLEETCOR TECHNOLOGIES INC 17,800 2,548,000 0.01%
192 AMETEK INC NEW 55,106 2,548,000 0.01%
193 CIT GROUP INC 80,100 2,556,000 0.01%
194 TWITTER INC 152,600 2,580,000 0.01%
195 CommVault Systems Inc 60,000 2,591,000 0.01%
196 INVESCO LTD 101,721 2,598,000 0.01%
197 HASBRO INC 30,964 2,601,000 0.01%
198 PVH CORPORATION 27,613 2,602,000 0.01%
199 LAS VEGAS SANDS CORP 59,900 2,605,000 0.01%
200 LKQ CORP 82,800 2,625,000 0.01%
Page 4 of 16

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-16-076745, filed 2016.08.15).

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.