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Institutional Investment Manager
OREGON PUBLIC EMPLOYEES RETIREMENT FUND
OREGON PUBLIC EMPLOYEES RETIREMENT FUND (CIK: 0001107314) incorporated in Oregon, located at 16290 Sw Upper Boones Ferry Road, Tigard, OR. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001107314-15-000006) filed in 2015.07.15
#
Name
Shares
Value ($)
%
Options
Notes
951 LYONDELLBASELL INDUSTRIES N 107,317 11,109 0.26%
952 GENERAL MTRS CO 333,956 11,131 0.26%
953 VALERO ENERGY CORP NEW 181,788 11,380 0.26%
954 AMERICAN EXPRESS CO 148,042 11,506 0.27%
955 FORD MTR CO DEL 779,649 11,703 0.27%
956 LOCKHEED MARTIN CORP 62,956 11,704 0.27%
957 KROGER CO 163,354 11,845 0.27%
958 MONDELEZ INTL INC 288,973 11,888 0.28%
959 TEXAS INSTRS INC 234,049 12,056 0.28%
960 US BANCORP DEL 291,618 12,656 0.29%
961 OCCIDENTAL PETE CORP DEL 166,152 12,922 0.30%
962 AMERICAN INTL GROUP INC 219,117 13,546 0.31%
963 MCKESSON CORP 61,673 13,865 0.32%
964 KRAFT HEINZ CO COM 162,907 13,870 0.32%
965 AETNA INC NEW 109,446 13,950 0.32%
966 ACCENTURE PLC IRELAND 145,209 14,053 0.33%
967 TIME WARNER INC 165,726 14,486 0.34%
968 ABBVIE INC 218,077 14,653 0.34%
969 CELGENE CORP 127,763 14,787 0.34%
970 COSTCO WHSL CORP NEW 110,746 14,957 0.35%
971 HONEYWELL INTL INC 148,633 15,156 0.35%
972 PHILLIPS 66 193,387 15,579 0.36%
973 BIOGEN INC 38,769 15,660 0.36%
974 GOLDMAN SACHS GROUP INC 76,810 16,037 0.37%
975 UNION PAC CORP 172,471 16,449 0.38%
976 BRISTOL MYERS SQUIBB CO 253,552 16,871 0.39%
977 UNITED TECHNOLOGIES CORP 153,287 17,004 0.39%
978 ANTHEM INC 106,251 17,440 0.40%
979 MASTERCARD INCORPORATED 186,710 17,454 0.41%
980 SCHLUMBERGER LTD 205,629 17,723 0.41%
981 TARGET CORP 221,827 18,108 0.42%
982 NIKE INC 172,706 18,656 0.43%
983 FACEBOOK INC 218,908 18,775 0.44%
984 BOEING CO 135,708 18,825 0.44%
985 LOWES COS INC 281,321 18,840 0.44%
986 Hewlett Packard Co 634,027 19,027 0.44%
987 QUALCOMM INC 308,428 19,317 0.45%
988 AMGEN INC 125,853 19,321 0.45%
989 ALTRIA GROUP INC 408,858 19,997 0.46%
990 WALGREENS BOOTS ALLIANCE INC 237,041 20,016 0.46%
991 ALLERGAN PLC 66,232 20,099 0.47%
992 3M CO 135,469 20,903 0.49%
993 LILLY ELI & CO 255,985 21,372 0.50%
994 VISA INC 323,892 21,749 0.50%
995 STARBUCKS CORP 410,460 22,007 0.51%
996 MCDONALDS CORP 232,070 22,063 0.51%
997 MEDTRONIC PLC 302,121 22,387 0.52%
998 CONOCOPHILLIPS 381,488 23,427 0.54%
999 PHILIP MORRIS INTL INC 297,558 23,855 0.55%
1000 COMCAST CORP NEW 402,410 24,201 0.56%
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