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Institutional Investment Manager
CI INVESTMENTS INC.
CI INVESTMENTS INC. (CIK: 0001163648), located at 15 York Street, 2nd Floor, Toronto. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 187 holdings with a total value of $7,840,115,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 CITIGROUP INC 13,642,575 569,578,000 7.26%
2 SPDR GOLD TR 3,749,639 440,958,000 5.62%
3 VEREIT 29,056,602 257,732,000 3.29%
4 ALPHABET INC 315,539 235,061,000 3.00%
5 APPLE INC 2,052,233 223,673,000 2.85%
6 FOREST CITY RLTY TR INC COM CL A 9,054,549 190,960,000 2.44%
7 DISCOVER FINANCIAL 3,576,732 182,127,000 2.32%
8 PROCTER AND GAMBLE CO 2,206,953 181,654,000 2.32%
9 AT&T INC 4,226,500 165,552,000 2.11%
10 MICROSOFT CORP 2,670,318 147,482,000 1.88%
11 BRISTOL MYERS SQUIBB CO 2,298,300 146,815,000 1.87%
12 NEWELL BRANDS 3,294,400 145,909,000 1.86%
13 FRONTIER COMM 25,293,655 141,392,000 1.80%
14 GENERAL ELECTRIC CO 4,426,880 140,731,000 1.80%
15 HONEYWELL INTL INC 1,140,886 127,836,000 1.63%
16 COCA COLA CO 2,746,900 127,429,000 1.63%
17 J.P. MORGAN CHASE & CO 6,892,198 121,992,000 1.56%
18 MCKESSON CORP 764,375 120,198,000 1.53%
19 THERMO FISHER SCIENTIFIC INC 843,000 119,360,000 1.52%
20 Pattern Energy Group Inc 6,215,107 118,522,000 1.51%
21 COLONY CAPITAL 6,676,825 111,970,000 1.43%
22 JOHNSON & JOHNSON 1,015,738 109,903,000 1.40%
23 DOLLAR TREE INC 1,304,100 107,536,000 1.37%
24 NXP SEMICONDUCTORS N V 1,216,960 98,659,000 1.26%
25 MONDELEZ INTL INC 2,383,300 95,618,000 1.22%
26 UNITEDHEALTH GROUP INC 699,000 90,101,000 1.15%
27 BROOKFIELD PPTY PARTNERS L P 3,865,636 89,605,000 1.14%
28 WELLS FARGO & CO NEW 5,664,535 88,707,000 1.13%
29 MEDTRONIC PLC 1,170,800 87,810,000 1.12%
30 PEPSICO INC 835,447 85,617,000 1.09%
31 MERCK & CO INC 1,587,700 84,005,000 1.07%
32 CVS HEALTH CORP 791,671 82,120,000 1.05%
33 TAIWAN SEMICONDUCTOR MFG LTD 2,811,903 73,672,000 0.94%
34 EOG RES INC 985,000 71,491,000 0.91%
35 SYNCHRONY FINL 2,478,804 71,043,000 0.91%
36 CISCO SYS INC 2,490,500 70,905,000 0.90%
37 VERIZON COMMUNICATIONS INC 1,306,600 70,661,000 0.90%
38 PFIZER INC 2,341,600 69,405,000 0.89%
39 ROUSE PPTYS INC 3,747,267 68,875,000 0.88%
40 ALLERGAN PLC 254,700 68,267,000 0.87%
41 DEVON ENERGY CORP NEW 2,425,950 66,568,000 0.85%
42 CAPITAL ONE FINL CORP 922,200 63,918,000 0.82%
43 HOME DEPOT INC 461,600 61,591,000 0.79%
44 HILTON WORLDWIDE HLDGS INC 2,412,600 54,332,000 0.69%
45 BHP BILLITON LTD 2,058,400 53,313,000 0.68%
46 KATE SPADE & CO 2,043,800 52,158,000 0.67%
47 CHEVRON CORP NEW 539,369 51,456,000 0.66%
48 AMAZON COM INC 81,300 48,263,000 0.62%
49 GOLDCORP INC NEW 2,940,700 47,728,000 0.61%
50 PNC FINL SVCS GROUP INC 2,216,917 45,026,000 0.57%
Page 1 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001163648-16-000025, filed 2016.05.06).

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.