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Institutional Investment Manager
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS (CIK: 0001083190) incorporated in Pennsylvania, located at 5 North 5th St, Harrisburg, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 1,105 holdings with a total value of $4,754,620,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 FACEBOOK INC 148,341 15,525,000 0.33%
52 PHILLIPS 66 185,009 15,134,000 0.32%
53 CHEVRON CORP NEW 165,817 14,917,000 0.31%
54 ALPHABET INC 19,034 14,809,000 0.31%
55 ALPHABET INC 19,413 14,732,000 0.31%
56 ISHARES INC 372,982 14,692,000 0.31%
57 PROSPECT CAPITAL CORPORATION 15,406,000 14,655,000 0.31%
58 DCP MIDSTREAM LP 593,975 14,653,000 0.31%
59 PRECISION CASTPARTS 62,180 14,426,000 0.30%
60 SANDISK CORP 188,763 14,344,000 0.30%
61 WESTERN REFNG LOGISTICS LP 580,461 14,239,000 0.30%
62 VALERO ENERGY PARTNERS LP 275,537 14,220,000 0.30%
63 MERCADOLIBRE INC 123,493 14,120,000 0.30%
64 PROCTER AND GAMBLE CO 177,750 14,115,000 0.30%
65 BIOMED REALTY TRUST INC 584,886 13,856,000 0.29%
66 AT&T INC 401,943 13,831,000 0.29%
67 STANCORP FINL GROUP INC COM 120,973 13,776,000 0.29%
68 TORONTO DOMINION BK ONT 349,524 13,648,000 0.29%
69 FAIRCHILD SEMICONDUCTOR INTLCOM 657,876 13,625,000 0.29%
70 AMERIGAS PARTNERS L P 392,594 13,454,000 0.28%
71 NEW MTN FIN CORP 13,700,000 13,392,000 0.28%
72 SOLERA HOLDINGS INC 243,310 13,341,000 0.28%
73 SOLARWINDS INC 226,089 13,317,000 0.28%
74 TALLGRASS ENERGY GP LP SHS CLASS A 823,287 13,148,000 0.28%
75 KEURIG GREEN MTN INC 143,460 12,909,000 0.27%
76 CMS Energy Corp 243,289 12,702,000 0.27%
77 EQT GP HLDGS LP 610,730 12,679,000 0.27%
78 AIRGAS INC 91,650 12,677,000 0.27%
79 AGL Resources Inc 197,250 12,587,000 0.26%
80 TECO ENERGY INC COM 469,090 12,501,000 0.26%
81 ISHARES TR 113,337 12,480,000 0.26%
82 PARTNERRE LTD 88,968 12,432,000 0.26%
83 KING DIGITAL ENTMT PLC 694,444 12,417,000 0.26%
84 PEPCO HOLDINGS INC 475,286 12,362,000 0.26%
85 Medassets Inc 398,724 12,337,000 0.26%
86 VERIZON COMMUNICATIONS INC 265,842 12,287,000 0.26%
87 SYMETRA FINANCIAL INC 384,615 12,219,000 0.26%
88 CABLEVISION SYS CORP(NEW) NY GROUP CL ACOM 372,707 11,889,000 0.25%
89 PIEDMONT NAT GAS INC 208,333 11,879,000 0.25%
90 RITE AID CORP 1,470,588 11,529,000 0.24%
91 BANK AMER CORP 680,304 11,450,000 0.24%
92 CONSTANT CONTACT INC 390,625 11,422,000 0.24%
93 DYAX CORP COM CVR 302,663 11,386,000 0.24%
94 COCA COLA CO 262,173 11,263,000 0.24%
95 ALLERGAN PLC 35,750 11,172,000 0.23%
96 ALPS ETF TR 923,652 11,130,000 0.23%
97 ISHARES TR 189,232 11,112,000 0.23%
98 HOME DEPOT INC 82,838 10,955,000 0.23%
99 INTEL CORP 308,318 10,622,000 0.22%
100 DISNEY WALT CO 99,370 10,442,000 0.22%
Page 2 of 23

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001083190-16-000011, filed 2016.02.09).

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.