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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 (2016Q2)
Original 13F HR (0001140361-16-074626) filed in 2016.08.03
#
Name
Shares
Value ($)
%
Options
Notes
1 Quantum Fuel Systems Tech Worl 45,941 11 0.00%
2 Pacific Sunwear Calif Inc 136,000 18 0.00%
3 COMMUNITY HEALTH SYS INC NEW 529,900 24 0.00%
4 AMERICAN CARESOURCE HLDGS IN 12,571 25 0.00%
5 PRISM TECHNOLOGIES GROUP INC 11,600 31 0.00%
6 CLEAN DIESEL TECHNOLOGIES IN 16,533 55 0.00%
7 AMERICAN DG ENERGY INC 26,000 61 0.00%
8 NW Biotherapeutics 11,175 65 0.00%
9 OPEXA THERAPEUTICS INC 266,050 67 0.00%
10 BIODEL INC 22,656 71 0.00%
11 MAJESCO ENTERTAINMENT CO COM PAR NEW 10,342 72 0.00%
12 SOLITARIO EXPL & RTY CORP COM 14,104 73 0.00%
13 DOCUMENT SEC SYS INC COM 37,200 75 0.00%
14 DYNEGY INCORPORATED NEW DEL WARRANT EXP 100217 21,598 77 0.00%
15 DIGITAL PWR CORP 19,700 80 0.00%
16 EMERSON RADIO CORP NEW 3/94 14,153 81 0.00%
17 J G WENTWORTH CO CL A 32,000 82 0.00%
18 Tianyin Pharmaceutical Co Inc 333,300 83 0.00%
19 VICON INDS INC 16,600 85 0.00%
20 GLOWPOINT INC 29,050 86 0.00%
21 LIGHTBRIDGE CORP 20,000 92 0.00%
22 SEVENTY SEVEN ENERGY INC - escrow shares 106,500 98 0.00%
23 ERICKSON INC 16,100 98 0.00%
24 BLONDER TONGUE LABS INC 20,400 98 0.00%
25 AEROPOSTALE INC N/C 8/16/17 00215Q103 129,300 100 0.00%
26 PERNIX THERAPEUTICS HLDGS IN 22,400 100 0.00%
27 Energy XXI LTD 225,491 101 0.00%
28 BIND THERAPEUTICS INC 26,400 104 0.00%
29 PHOTOMEDEX INC COM PAR NEW 41,600 105 0.00%
30 TETRALOGIC PHARMA CO 35,900 110 0.00%
31 ESCALON MEDICAL CORP 17,100 116 0.00%
32 SUNLINK HEALTH SYS INC COM 25,182 126 0.00%
33 AG&E HOLDINGS INC 47,799 128 0.00%
34 CINEDIGM CORP 10,970 133 0.00%
35 STRATA SKIN SCIENCES INC 22,570 138 0.00%
36 AZURE MIDSTREAM PARTNERS LP COM UNIT 20,000 140 0.00%
37 GOLDEN MINERALS CO 22,200 145 0.00%
38 DOVER DOWNS GAMING AND ENTERTAINMENT 13,750 146 0.00%
39 ALLIED HEALTHCARE PRODS INC 25,400 152 0.00%
40 CHINANET ONLINE HOLDINGS 28,500 157 0.00%
41 HONGLI CLEAN ENERGY TECHNOLO 57,800 162 0.00%
42 Kinder Morgan Inc Del Wt Exp 052517 950,701 162 0.00%
43 URANIUM RES INC 10,517 168 0.00%
44 ACTIVE POWER INC COM NEW 44,663 176 0.00%
45 INTERPACE DIAGNOSTICS GROUP 53,400 176 0.00%
46 DESWELL INDS INC 11,408 179 0.00%
47 IGNITE RESTAURANT GROUP INC 12,000 187 0.00%
48 NANOSPHERE INC 11,216 190 0.00%
49 PROFESSIONAL DIVERSITY NET I 50,000 190 0.00%
50 CAS MED SYS INC 10,400 191 0.00%
Page 1 of 72
Restatement filing (0001140361-16-083416) filed in 2016.10.25
#
Name
Shares
Value ($)
%
Options
Notes
901 VISTEON CORP COM NEW 133,900 8,812 0.01%
902 TUPPERWARE BRANDS CORP 156,389 8,802 0.01%
903 DUPONT FABROS TECHNOLOGY INC 185,081 8,799 0.01%
904 SANMINA CORPORATION COM 327,910 8,791 0.01%
905 COLUMBIA PPTY TR INC 410,600 8,787 0.01%
906 CRANE CO 154,900 8,786 0.01%
907 SKECHERS U S A INC 295,600 8,785 0.01%
908 GRAMMERCY PPTY TRUST 947,992 8,741 0.01%
909 MADISON SQUARE GARDEN CO NEW 50,488 8,710 0.01%
910 CORESITE RLTY CORP 98,000 8,692 0.01%
911 AERCAP HOLDINGS NV 258,300 8,676 0.01%
912 NUSTAR ENERGY LP 174,100 8,670 0.01%
913 MYRIAD GENETICS INC 282,400 8,641 0.01%
914 NOBLE CORP PLC 1,048,519 8,640 0.01%
915 SENSIENT TECHNOLOGIES CORP 121,488 8,631 0.01%
916 HEXCEL CORP NEW COM 206,900 8,615 0.01%
917 AKORN INCORPORATED 302,000 8,603 0.01%
918 EAGLE MATERIALS INC 111,300 8,587 0.01%
919 ZILLOW GROUP INC 236,600 8,584 0.01%
920 AVISTA CORP 191,480 8,578 0.01%
921 VALMONT INDS INC 63,400 8,576 0.01%
922 LivaNova PLC 170,666 8,573 0.01%
923 TENNECO INC 183,900 8,572 0.01%
924 CONVERGYS CORP 342,400 8,560 0.01%
925 EURONET WORLDWIDE INC 123,200 8,524 0.01%
926 DELUXE CORP COM 128,300 8,515 0.01%
927 COGNEX CORP 196,000 8,448 0.01%
928 CABOT CORP 184,900 8,443 0.01%
929 HUNTSMAN CORP 626,000 8,420 0.01%
930 CABELAS INC 168,100 8,415 0.01%
931 CSRA INC 359,067 8,413 0.01%
932 WOODWARD INC 145,800 8,404 0.01%
933 CLEARWATER PAPER CORP COM 128,556 8,404 0.01%
934 WGL HLDGS INC COM 118,700 8,403 0.01%
935 SPROUTS FMRS MKT INC 366,900 8,402 0.01%
936 PolyOne Corp 137,596 8,400 0.01%
937 MACQUARIE INFRASTRUCTURE COR 113,000 8,368 0.01%
938 WORTHINGTON INDS INC 197,800 8,367 0.01%
939 ARRIS INTL INC 399,053 8,364 0.01%
940 LIBERTY GLOBAL PLC 257,365 8,362 0.01%
941 CALLON PETE CO DEL COM 744,500 8,361 0.01%
942 NUANCE COMMUNICATIONS INC 534,600 8,356 0.01%
943 ALLISON TRANSMISSION HLDGS INC COM 295,900 8,353 0.01%
944 BIO RAD LABS INC 58,339 8,344 0.01%
945 OPKO HEALTH INC 893,056 8,341 0.01%
946 CHEMOURS CO 1,011,853 8,338 0.01%
947 SPIRE INC COM 117,600 8,331 0.01%
948 ASPEN TECHNOLOGY INC 207,003 8,330 0.01%
949 INTEGRATED DEVICE TECHNOLOGY 413,100 8,316 0.01%
950 SABRE CORP 309,100 8,281 0.01%
Page 19 of 72