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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 (2016Q3)
Original 13F HR (0001140361-16-083409) filed in 2016.10.24
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 13,706,494 15,495,191 2.55%
2 MICROSOFT CORP 19,128,144 11,017,811 1.81%
3 EXXON MOBIL CORP 11,665,688 10,181,812 1.67%
4 JOHNSON & JOHNSON 7,060,667 8,340,766 1.37%
5 AMAZON COM INC 866,539 7,255,618 1.19%
6 AT&T INC 16,968,466 6,890,894 1.13%
7 GENERAL ELECTRIC CO 22,682,732 6,718,625 1.10%
8 FACEBOOK INC 5,207,300 6,679,404 1.10%
9 JPMORGAN CHASE & CO 9,899,576 6,592,128 1.08%
10 PROCTER AND GAMBLE CO 7,165,855 6,431,355 1.06%
11 WELLS FARGO CO NEW 13,686,582 6,060,419 1.00%
12 VERIZON COMMUNICATIONS INC 11,040,169 5,738,680 0.94%
13 ALPHABET INC 687,859 5,530,799 0.91%
14 CHEVRON CORP NEW 5,273,861 5,427,858 0.89%
15 PFIZER INC 15,316,138 5,187,576 0.85%
16 ALPHABET INC 651,892 5,067,091 0.83%
17 INTEL CORP 12,575,278 4,747,167 0.78%
18 MERCK & CO INC 7,170,053 4,474,830 0.74%
19 BANK AMER CORP 28,354,513 4,437,481 0.73%
20 HOME DEPOT INC 3,311,716 4,261,516 0.70%
21 INTERNATIONAL BUSINESS MACHS 2,679,217 4,255,936 0.70%
22 BERKSHIRE HATHAWAY INC DEL 2,917,300 4,214,623 0.69%
23 PEPSICO INC 3,864,005 4,202,878 0.69%
24 COCA COLA CO 9,802,412 4,148,381 0.68%
25 COMCAST CORP NEW 6,111,800 4,054,568 0.67%
26 CISCO SYS INC 12,472,851 3,956,388 0.65%
27 VISA INC 4,655,986 3,850,500 0.63%
28 CITIGROUP INC 7,799,179 3,683,552 0.61%
29 DISNEY WALT CO 3,957,576 3,675,005 0.60%
30 UNITEDHEALTH GROUP INC 2,492,214 3,489,100 0.57%
31 APOLLO GLOBAL MGMT LLC 22,595,001 3,368,662 0.55%
32 ORACLE CORP 8,237,847 3,235,826 0.53%
33 WAL-MART STORES INC 4,257,775 3,070,707 0.50%
34 AMGEN INC 1,780,663 2,970,324 0.49%
35 3M CO 1,675,568 2,952,853 0.49%
36 MEDTRONIC PLC 3,332,279 2,879,089 0.47%
37 SCHLUMBERGER LTD 3,567,364 2,805,375 0.46%
38 MCDONALDS CORP 2,420,220 2,791,966 0.46%
39 BERKSHIRE HATHAWAY INC DEL 1,282 2,771,940 0.46%
40 GILEAD SCIENCES INC 3,413,418 2,700,696 0.44%
41 QUALCOMM INC 3,789,844 2,596,043 0.43%
42 ABBVIE INC 4,047,129 2,552,524 0.42%
43 MASTERCARD INCORPORATED 2,402,360 2,444,882 0.40%
44 HONEYWELL INTL INC 2,085,103 2,431,022 0.40%
45 CVS HEALTH CORP 2,725,576 2,425,490 0.40%
46 ALIBABA GROUP HLDG LTD 2,283,060 2,415,249 0.40%
47 BRISTOL MYERS SQUIBB CO 3,929,974 2,119,042 0.35%
48 UNION PAC CORP 2,169,230 2,115,650 0.35%
49 UNITED TECHNOLOGIES CORP 2,063,725 2,096,745 0.34%
50 US BANCORP DEL 4,853,369 2,081,610 0.34%
Page 1 of 70
Restatement filing (0001140361-16-083516) filed in 2016.10.25
#
Name
Shares
Value ($)
%
Options
Notes
1001 ITT INC COM 212,507 7,616 0.01%
1002 UMPQUA HOLDINGS CORP 505,783 7,612 0.01%
1003 VIPSHOP HLDGS LTD 518,800 7,611 0.01%
1004 AUTONATION INC 156,100 7,604 0.01%
1005 CARDTRONICS PLC SHS CL A 170,500 7,604 0.01%
1006 ENERGIZER HLDGS INC NEW COM 152,033 7,596 0.01%
1007 ALLEGHENY TECHNOLOGIES INC 420,274 7,594 0.01%
1008 INTERSIL CORP 345,800 7,583 0.01%
1009 NETSUITE INC 68,500 7,582 0.01%
1010 COOPER TIRE RUBR CO 199,327 7,578 0.01%
1011 PROOFPOINT INC 101,200 7,575 0.01%
1012 LITTELFUSE INC 58,600 7,548 0.01%
1013 ANIXTER INTL INC 116,900 7,540 0.01%
1014 CEDAR FAIR L P 131,600 7,539 0.01%
1015 AVISTA CORP 179,980 7,521 0.01%
1016 WINTRUST FINL CORP COM 135,000 7,502 0.01%
1017 SYNNEX CORP 65,600 7,486 0.01%
1018 TEXAS ROADHOUSE INC 191,700 7,482 0.01%
1019 OFFICE DEPOT INC 2,092,021 7,469 0.01%
1020 RYMAN HOSPITALITY PPTYS INC 155,049 7,467 0.01%
1021 NATIONAL HEALTH INVS INC 94,900 7,448 0.01%
1022 VIASAT INC 99,700 7,443 0.01%
1023 LASALLE HOTEL PPTYS 311,459 7,435 0.01%
1024 WILEY JOHN SONS INC 143,946 7,429 0.01%
1025 RLJ LODGING TR COM 353,100 7,426 0.01%
1026 CORPORATE OFFICE PPTYS TR 261,794 7,422 0.01%
1027 PLANTRONICS INCORPORATED NEW 142,800 7,420 0.01%
1028 SUNSTONE HOTEL INVS INC NEW 579,439 7,411 0.01%
1029 CENTURY ALUM CO COM 1,066,100 7,409 0.01%
1030 ORBOTECH LTD 248,800 7,367 0.01%
1031 ALLSCRIPTS HEALTHCARE SOLUTN 558,700 7,358 0.01%
1032 WINDSTREAM HLDGS INC 731,985 7,356 0.01%
1033 CHICAGO BRIDGE & IRON CO N V 262,300 7,352 0.01%
1034 STAMPS COM INC COM NEW 77,500 7,325 0.01%
1035 ESTERLINE TECHNOLOGIES CORP 96,300 7,323 0.01%
1036 NOBLE CORP PLC 1,154,919 7,322 0.01%
1037 CIENA CORP 335,070 7,305 0.01%
1038 NUANCE COMMUNICATIONS INC 502,500 7,286 0.01%
1039 DUPONT FABROS TECHNOLOGY INC 175,881 7,255 0.01%
1040 KBR INC 478,736 7,243 0.01%
1041 SNYDERS-LANCE INC 215,495 7,236 0.01%
1042 TWO HBRS INVT CORP 847,500 7,229 0.01%
1043 NAVISTAR INTL CORP NEW 315,700 7,226 0.01%
1044 VistaPrint NV 71,400 7,224 0.01%
1045 Pandora Media 502,500 7,201 0.01%
1046 NEW RESIDENTIAL INVT CORP COM NEW 520,550 7,189 0.01%
1047 HEALTHCARE RLTY TR 210,675 7,176 0.01%
1048 WGL HLDGS INC COM 114,200 7,160 0.01%
1049 CBL & ASSOC PPTYS INC 589,685 7,159 0.01%
1050 MUELLER WTR PRODUCTS INCORPORATED COM SER A 569,800 7,151 0.01%
Page 21 of 70