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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 (2016Q4)
Portfolio Summary: 205 holdings with a total value of $9,135,422,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 CITIGROUP INC 10,966,631 651,747,000 7.13%
2 SYNCHRONY FINL 8,413,694 305,165,000 3.34%
3 ALPHABET INC 391,854 302,441,000 3.31%
4 VEREIT 31,176,015 263,749,000 2.89%
5 FOREST CITY RLTY TR INC COM CL A 10,334,809 215,377,000 2.36%
6 GENERAL ELECTRIC CO 6,042,170 190,933,000 2.09%
7 WELLS FARGO & CO NEW 3,457,400 190,537,000 2.09%
8 WELLS FARGO & CO NEW 8,605,711 183,560,000 2.01%
9 APPLE INC 1,533,134 177,568,000 1.94%
10 ALIBABA GROUP HLDG LTD 1,964,200 172,476,000 1.89%
11 JPMORGAN CHASE & CO 1,977,904 170,673,000 1.87%
12 COLONY CAPITAL 8,372,875 169,551,000 1.86%
13 UNITEDHEALTH GROUP INC 1,051,750 168,322,000 1.84%
14 MICRON TECHNOLOGY INC 7,447,150 163,242,000 1.79%
15 NXP SEMICONDUCTORS N V 1,547,080 151,629,000 1.66%
16 EOG RES INC 1,408,939 142,444,000 1.56%
17 MICROSOFT CORP 2,239,116 139,139,000 1.52%
18 BANK AMER CORP 5,767,099 127,453,000 1.40%
19 GENERAL GROWTH PPTYS INC NEW 5,070,590 126,663,000 1.39%
20 THERMO FISHER SCIENTIFIC INC 879,500 124,097,000 1.36%
21 ANTHEM INC 817,000 117,460,000 1.29%
22 SPECTRA ENERGY CORP 2,724,100 111,933,000 1.23%
23 BRISTOL MYERS SQUIBB CO 1,898,680 110,959,000 1.21%
24 MONDELEZ INTL INC 2,487,050 110,251,000 1.21%
25 SIX FLAGS ENTMT CORP NEW 1,720,775 103,178,000 1.13%
26 BROOKFIELD PPTY PARTNERS L P 4,686,211 103,050,000 1.13%
27 ORACLE CORP 2,657,994 102,200,000 1.12%
28 SYMANTEC CORP 4,147,098 99,074,000 1.08%
29 PEPSICO INC 903,897 94,575,000 1.04%
30 KINDER MORGAN INC DEL 4,457,800 92,321,000 1.01%
31 CISCO SYS INC 3,009,150 90,937,000 1.00%
32 ISHARES TR 753,800 89,800,000 0.98%
33 WILLIAMS COS INC DEL 2,870,100 89,375,000 0.98%
34 NEWELL BRANDS 1,991,200 88,907,000 0.97%
35 PROCTER AND GAMBLE CO 1,033,207 86,872,000 0.95%
36 Pattern Energy Group Inc 4,540,400 86,222,000 0.94%
37 FRONTIER COMM 25,050,455 84,671,000 0.93%
38 MOBILEYE N V AMSTELVEEN 2,119,449 80,793,000 0.88%
39 VANGUARD CHARLOTTE FDS 1,375,234 74,661,000 0.82%
40 CELGENE CORP 639,550 74,028,000 0.81%
41 BHP BILLITON LTD 2,046,150 73,211,000 0.80%
42 NEXTERA ENERGY INC 599,690 71,639,000 0.78%
43 TAIWAN SEMICONDUCTOR MFG LTD 2,477,003 71,214,000 0.78%
44 COCA COLA CO 1,713,400 71,038,000 0.78%
45 MORGAN STANLEY 1,671,700 70,629,000 0.77%
46 DEVON ENERGY CORP NEW 1,496,650 68,352,000 0.75%
47 PFIZER INC 2,020,325 65,620,000 0.72%
48 ISHARES TR 821,896 63,237,000 0.69%
49 MEDTRONIC PLC 881,900 62,818,000 0.69%
50 ENCANA CORP 5,275,650 61,936,000 0.68%
Page 1 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001163648-17-000001, filed 2017.02.06).

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.