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Institutional Investment Manager
CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM
CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM (CIK: 0000919079) incorporated in California, located at 400 Q St, Sacramento, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 3,791 holdings with a total value of $73,520,571,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 LL ENERGY INC 102,900 36,000 0.00%
52 INTERNET PATENTS CORP 11,600 36,000 0.00%
53 CHINA BAK BATTERY INC 15,640 37,000 0.00%
54 BAXANO SURGICAL INC COM 66,000 38,000 0.00%
55 CHINA HGS REAL ESTATE INC 14,400 38,000 0.00%
56 COVER-ALL TECHNOLOGIES INC 33,400 40,000 0.00%
57 ASCENT SOLAR TECHNOLOGIES IN 96,100 40,000 0.00%
58 LENTUO INTERNATI SPON ADS 14,000 41,000 0.00%
59 SCHMITT INDS INC ORE 14,606 41,000 0.00%
60 Epirus Biopharma 33,700 41,000 0.00%
61 AMERICAN CARESOURCE HLDGS IN 12,571 42,000 0.00%
62 VICON INDS INC 16,600 42,000 0.00%
63 ADVANCED PHOTONIX INC 70,600 43,000 0.00%
64 CHINA JO-JO DRUGSTORES INC 29,300 43,000 0.00%
65 ENTERTAINMENT GAMING ASIA INC 55,443 43,000 0.00%
66 CHINA SHENGDA PACKAGING GROU 43,900 43,000 0.00%
67 GLOWPOINT INC 29,050 44,000 0.00%
68 CRYSTAL ROCK HLDGS INC 54,800 44,000 0.00%
69 CLEAN DIESEL TECHNOLOGIES IN 16,533 45,000 0.00%
70 Response Genetics, Inc. 49,400 45,000 0.00%
71 China Recycling Energy Corp 26,183 46,000 0.00%
72 COMMAND SEC CORP 25,300 46,000 0.00%
73 SMTC CORP 25,860 46,000 0.00%
74 AMERICAN DG ENERGY INC 26,000 47,000 0.00%
75 MECOX LANE LIMITED SPON ADR REP 35 12,220 48,000 0.00%
76 BIODEL INC 22,656 49,000 0.00%
77 ACURA PHARMACEUTICALS INC 45,339 49,000 0.00%
78 VESTIN RLTY MTG II INC 11,608 49,000 0.00%
79 TECHNICAL COMMUNICATIONS COR 10,592 49,000 0.00%
80 Sorl Auto Parts 16,600 50,000 0.00%
81 COMMUNITY HEALTH SYS INC NEW RIGHT 99/99/9999 765,564 51,000 0.00%
82 NOAH ED HLDGS LTD 18,200 51,000 0.00%
83 DOCUMENT SEC SYS INC COM 37,200 51,000 0.00%
84 ADDVANTAGE TECHNOLOGIES GP I 18,600 51,000 0.00%
85 ALTAIR NANOTECHNOLOGIES INC 14,988 51,000 0.00%
86 WAVE SYSTEMS CORP 37,025 52,000 0.00%
87 QUALSTAR CORP 40,499 53,000 0.00%
88 ATLANTICUS HLDGS CORP 18,829 53,000 0.00%
89 CHINA COML CR INC 14,400 53,000 0.00%
90 ATLANTIC COAST FINL CORP 13,186 54,000 0.00%
91 INTERPHASE CORP 12,463 54,000 0.00%
92 MICROVISION INC DEL 27,600 55,000 0.00%
93 LIGHTBRIDGE CORP 20,000 55,000 0.00%
94 CLEVELAND BIOLABS INC 114,307 55,000 0.00%
95 AUTHENTIDATE HLDG CORP 85,784 57,000 0.00%
96 HIGHPOWER INTL INC COM 12,300 59,000 0.00%
97 BSD MEDICAL CORP 59,643 59,000 0.00%
98 COSI INC SHS 51,882 59,000 0.00%
99 NETLIST INC 47,100 61,000 0.00%
100 ALLIED HEALTHCARE PRODS INC 25,400 61,000 0.00%
Page 2 of 76

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-14-032576, filed 2014.08.14).

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.