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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)
Original 13F HR (0001140361-16-076745) filed in 2016.08.15
#
Name
Shares
Value ($)
%
Options
Notes
501 ALLIANT ENERGY CORP 262,655 10,427 0.03%
502 TWENTY FIRST CENTY FOX INC 263,275 7,122 0.02%
503 TRINITY INDS INC 264,000 4,902 0.01%
504 Credicorp Ltd. 264,072 40,754 0.10%
505 NOW INC 266,000 4,825 0.01%
506 FIDELITY NATL INFORMATION SV 266,233 19,616 0.05%
507 EQUITY RESIDENTIAL 266,591 18,363 0.05%
508 WILLIAMS COS INC 266,636 5,767 0.01%
509 ONEOK INC NEW 266,967 12,668 0.03%
510 SEMPRA ENERGY 267,885 30,544 0.08%
511 WESTERN DIGITAL CORP 274,688 12,982 0.03%
512 COGNIZANT TECHNOLOGY SOLUTIO 276,705 15,839 0.04%
513 HALLIBURTON CO 277,483 12,567 0.03%
514 AEROHIVE NETWORKS INC 280,000 1,854 0.00%
515 GRAY TELEVISION INC 282,000 3,060 0.01%
516 HONEYWELL INTL INC 283,363 32,961 0.08%
517 RINGCENTRAL INC 285,000 5,620 0.01%
518 ALLY FINL INC 289,900 4,949 0.01%
519 BOSTON SCIENTIFIC CORP 290,026 6,778 0.02%
520 OCCIDENTAL PETROLEUM CORPORATION 292,105 22,071 0.06%
521 JETBLUE AIRWAYS CORPORATION CMN 293,000 4,852 0.01%
522 AIR PRODS & CHEMS INC 298,889 42,454 0.11%
523 New Oriental Educatio-Sp Adr 300,500 12,585 0.03%
524 UNITED CONTINENTAL HOLDING INC CMN 300,600 12,337 0.03%
525 MACY'S INC 301,143 10,121 0.03%
526 FireEye Inc. 310,000 5,106 0.01%
527 Intuit Inc 310,700 58,800 0.15%
528 Synchrony Financial 312,242 7,893 0.02%
529 ALTRIA GROUP INC 312,924 21,579 0.06%
530 PHILLIPS 66 313,150 24,845 0.06%
531 EMERSON ELECTRIC CO 315,800 16,472 0.04%
532 SEAGATE TECHNOLOGY PLC CMN 319,200 7,776 0.02%
533 ACTIVISION BLIZZARD INC 320,937 12,719 0.03%
534 SWIFT TRANSPORTATION COMPANY CMN 330,000 5,085 0.01%
535 PAYPAL HLDGS INC 334,212 12,202 0.03%
536 Kearny Financial Corp/MD 338,968 4,264 0.01%
537 HANESBRANDS INC 340,633 8,560 0.02%
538 GAP INC DEL 342,500 7,268 0.02%
539 TESORO CORP 343,900 25,765 0.07%
540 MEAD JOHNSON NUTRITION CO 348,497 31,626 0.08%
541 MRC GLOBAL INC 350,000 4,974 0.01%
542 NORFOLK SOUTHERN CORP 351,577 29,930 0.08%
543 EVERSOURCE ENERGY CMN 354,060 21,208 0.05%
544 TARGET CORP 358,900 25,058 0.06%
545 DEVON ENERGY CORP NEW 359,800 13,043 0.03%
546 SOUTHERN COPPER CORP 363,499 9,807 0.03%
547 BEST BUY INC 364,300 11,148 0.03%
548 SOUTHWESTERN ENERGY CO 364,400 4,584 0.01%
549 AMERICAN AIRLS GROUP INC 369,067 10,448 0.03%
550 CYPRESS SEMICONDUCTOR CORP 375,000 3,956 0.01%
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