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Institutional Investment Manager
I.G. INVESTMENT MANAGEMENT, LTD.
I.G. INVESTMENT MANAGEMENT, LTD. (CIK: 0000898581), located at One Canada Center, Winnipeg, A2. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 390 holdings with a total value of $19,086,498,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 FOOT LOCKER INC 113,100 8,018,000 0.04%
202 ANADARKO PETE CORP 117,975 8,226,000 0.04%
203 FIFTH THIRD BANCORP 310,100 8,363,000 0.04%
204 FRANCO NEVADA CORP 140,187 8,376,000 0.04%
205 STERICYCLE INC 113,400 8,736,000 0.05%
206 TAHOE RES INC 933,619 8,790,000 0.05%
207 HUDBAY MINERALS INC 1,552,500 8,874,000 0.05%
208 CIMAREX ENERGY 65,400 8,888,000 0.05%
209 INTERNATIONAL BUSINESS MACHS 53,665 8,908,000 0.05%
210 ALAMOS GOLD INC NEW 1,293,848 8,917,000 0.05%
211 HCP INC 300,500 8,931,000 0.05%
212 KBR INC 537,200 8,966,000 0.05%
213 BIOGEN INC 31,853 9,033,000 0.05%
214 NORBORD INC 359,000 9,061,000 0.05%
215 EDISON INTL 125,877 9,062,000 0.05%
216 INTERPUBLIC GROUP COS INC 390,902 9,151,000 0.05%
217 TIFFANY & CO NEW 120,036 9,294,000 0.05%
218 SABRE CORP 374,511 9,344,000 0.05%
219 HUMANA INC 45,900 9,365,000 0.05%
220 COLUMBIA PPTY TR INC 438,400 9,469,000 0.05%
221 LIFEPOINT HEALTH INC 168,900 9,594,000 0.05%
222 COLLIERS INTL GROUP INC 265,503 9,780,000 0.05%
223 HOST HOTELS & RESORTS INC 521,300 9,821,000 0.05%
224 PRICELINE GRP INC 6,750 9,896,000 0.05%
225 COLGATE PALMOLIVE CO 152,235 9,962,000 0.05%
226 METHANEX CORP 230,704 10,112,000 0.05%
227 QUEST DIAGNOSTICS INC 111,050 10,206,000 0.05%
228 MICRON TECHNOLOGY INC 471,100 10,327,000 0.05%
229 IDACORP INC 130,700 10,528,000 0.06%
230 GENERAL MLS INC 174,133 10,756,000 0.06%
231 CA INC 340,788 10,827,000 0.06%
232 WHIRLPOOL CORP 61,400 11,161,000 0.06%
233 SCRIPPS NETWORKS INTERACT IN 157,100 11,212,000 0.06%
234 SIMON PPTY GROUP INC NEW 63,386 11,262,000 0.06%
235 RALPH LAUREN CORP 124,900 11,281,000 0.06%
236 BROADCOM LTD 63,850 11,287,000 0.06%
237 DOVER CORP 152,250 11,408,000 0.06%
238 DESCARTES SYS GROUP INC 539,450 11,495,000 0.06%
239 WASTE CONNECTIONS INC 147,700 11,580,000 0.06%
240 BERKLEY W R CORP 176,070 11,710,000 0.06%
241 PROGRESSIVE CORP OHIO 332,990 11,821,000 0.06%
242 NVIDIA CORPORATION 111,200 11,869,000 0.06%
243 CSRA INC 372,900 11,873,000 0.06%
244 TANGER FACTORY OUTLET CTRS I 344,000 12,308,000 0.06%
245 CRESCENT PT ENERGY CORP 914,500 12,422,000 0.07%
246 LAZARD LTD 307,500 12,635,000 0.07%
247 LOCKHEED MARTIN CORP 50,588 12,644,000 0.07%
248 PERRIGO CO PLC 157,220 13,085,000 0.07%
249 WILLIAMS SONOMA INC 270,700 13,099,000 0.07%
250 HARRIS CORP 129,736 13,294,000 0.07%
Page 5 of 8

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000898581-17-000002, filed 2017.02.14).

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.