Dark
Light
System
Institutional Investment Manager
OMERS ADMINISTRATION Corp
OMERS ADMINISTRATION Corp (CIK: 0001053321), located at 900-100 Adelaide St W, Toronto. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0001062993-14-006401) filed in 2014.11.10
#
Name
Shares
Value ($)
%
Options
Notes
251 EQUITY COMWLTH COM SH BEN INT 183,600 4,720 0.14%
252 MONTAGE TECHNOLOGY GROUP LIMITED 184,600 3,856 0.11%
253 TRW AUTOMOTIVE HLDGS CORP 185,100 18,741 0.56%
254 WADDELL & REED FINL INC 186,100 9,620 0.29%
255 DRESSER-RAND GROUP INC 187,900 15,457 0.46%
256 RIVERBED TECHNOLOGY INC 191,200 3,546 0.11%
257 TIM HORTONS INC 195,200 15,404 0.46%
258 Medical Action Industries Inc OLD 197,517 2,722 0.08%
259 ISHARES TR 205,425 13,172 0.39%
260 TAMINCO CORP 223,234 5,826 0.17%
261 El Paso Partners Pipeline 226,500 9,096 0.27%
262 COVIDIEN PLC 231,800 20,053 0.60%
263 PBF ENERGY INC 232,000 5,568 0.17%
264 BOSTON SCIENTIFIC CORP 237,300 2,803 0.08%
265 REALOGY HLDGS CORP 239,700 8,917 0.27%
266 Trulia Inc 244,300 11,946 0.36%
267 JOURNAL COMMUNICAT 244,680 2,063 0.06%
268 MANPOWERGROUP INC 248,100 17,392 0.52%
269 Alcoa 248,700 4,002 0.12%
270 WORLD FUEL SVCS CORP 260,938 10,417 0.31%
271 Hewlett Packard Co 267,800 9,499 0.28%
272 BRINKER INTL INC 282,300 14,338 0.43%
273 COMPUWARE CORP 283,500 3,008 0.09%
274 APPLE INC 290,542 29,272 0.87%
275 UNITED RENTALS INC 296,300 32,919 0.98%
276 CST BRANDS INC 296,800 10,670 0.32%
277 RR DONNELLEY & SONS CO 301,500 4,963 0.15%
278 STAPLES INC 302,600 3,661 0.11%
279 ASCENA RETAIL GROUP INC COM 304,200 4,046 0.12%
280 CAPITAL ONE FINL CORP 311,250 25,404 0.76%
281 PEREGRINE SEMICONDUCTOR CORP 330,100 4,083 0.12%
282 AGRIUM INC 334,600 29,809 0.89%
283 ANNIE S INC 375,100 17,217 0.51%
284 SIRIUS XM HOLDINGS INC 376,200 1,313 0.04%
285 ROCKWOOD HOLDINGS INC 377,500 28,860 0.86%
286 MICRON TECHNOLOGY INC 383,900 13,152 0.39%
287 CONVERSANT INC 387,100 13,258 0.40%
288 GOODYEAR TIRE & RUBR CO 391,900 8,851 0.26%
289 AGCO CORP 418,700 19,034 0.57%
290 PROTECTIVE LIFE CO 432,900 30,048 0.90%
291 TYSON FOODS INC 456,500 17,972 0.54%
292 MULTIMEDIA GAMES H 458,658 16,516 0.49%
293 VALERO ENERGY CORP NEW 468,300 21,668 0.65%
294 QR ENERGY LP 468,400 9,096 0.27%
295 INTEGRYS ENERGY GROUP INC 474,300 30,744 0.92%
296 GFI GROUP INC 491,300 2,658 0.08%
297 GENTIVA HEALTH SER 498,102 8,358 0.25%
298 LIN MEDIA LLC CLASS A COM 516,261 11,461 0.34%
299 InterDigital Inc 531,300 13,713 0.41%
300 Family Dollar Stores Inc 531,700 41,069 1.22%
Page 6 of 7