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Institutional Investment Manager
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp (CIK: 0001228242), located at 750 Pandora Ave, Victoria, A1. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 693 holdings with a total value of $10,630,819,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 AIRGAS INC 28,618 4,053,000 0.04%
202 NEW YORK CMNTY BANCORP INC 255,184 4,057,000 0.04%
203 VERISK ANALYTICS INC 50,851 4,064,000 0.04%
204 SCRIPPS NETWORKS INTERACT IN 62,156 4,071,000 0.04%
205 MALLINCKRODT PUB LTD CO 66,731 4,089,000 0.04%
206 METTLER-TOLEDO 11,879 4,095,000 0.04%
207 LINDSAY CORP 57,260 4,100,000 0.04%
208 RENAISSANCERE HOLDINGS LTD 34,337 4,115,000 0.04%
209 CINTAS CORP 46,167 4,146,000 0.04%
210 ENBRIDGE INC 139,203 4,188,000 0.04%
211 ATMOS ENERGY CORP 56,441 4,191,000 0.04%
212 DUKE REALTY CORP 186,378 4,201,000 0.04%
213 WHOLE FOODS MKT INC 136,093 4,234,000 0.04%
214 CDW CORP 102,064 4,236,000 0.04%
215 WESTERN UN CO 219,884 4,242,000 0.04%
216 FLEX LTD 352,725 4,254,000 0.04%
217 BRIXMOR PROPERTY 166,301 4,261,000 0.04%
218 CENTERPOINT ENERGY INC 204,244 4,273,000 0.04%
219 TAIWAN SEMICONDUCTOR MFG LTD 163,600 4,286,000 0.04%
220 SEI INVESTMENTS CO 101,159 4,355,000 0.04%
221 DAVITA INC 59,724 4,383,000 0.04%
222 ARCH CAP GROUP LTD 61,928 4,403,000 0.04%
223 BALL CORP 62,296 4,441,000 0.04%
224 CHENIERE ENERGY INC 131,818 4,459,000 0.04%
225 CROWN HOLDINGS INC 90,166 4,471,000 0.04%
226 MICRON TECHNOLOGY INC 431,035 4,513,000 0.04%
227 ENTERGY CORP NEW 56,998 4,519,000 0.04%
228 SYNOPSYS INC 93,906 4,549,000 0.04%
229 NUANCE COMM 243,831 4,557,000 0.04%
230 Intuit Inc 39,931 4,566,000 0.04%
231 BANK MONTREAL QUE 97,493 4,574,000 0.04%
232 HARLEY DAVIDSON INC 89,159 4,577,000 0.04%
233 LIBERTY MEDIA HOLDING CP INTER A 184,732 4,664,000 0.04%
234 DISCOVERY COMMUNICATNS NEW 172,971 4,670,000 0.04%
235 ISHARES 177,800 4,676,000 0.04%
236 SEAGATE TECHNOLOGY PLC 135,897 4,682,000 0.04%
237 JOHN BEAN TECHNOLOGIES CORP COM 83,014 4,683,000 0.04%
238 DISH NETWORK A 102,470 4,740,000 0.04%
239 WESTROCK CO 122,500 4,781,000 0.04%
240 LEAR CORP 43,044 4,785,000 0.05%
241 MICHAEL KORS HLDGS LTD 84,647 4,821,000 0.05%
242 AVERY DENNISON CORP 67,532 4,870,000 0.05%
243 CELANESE CORP DEL 74,653 4,890,000 0.05%
244 AMEREN CORP 98,810 4,950,000 0.05%
245 MSCI INC 66,889 4,955,000 0.05%
246 XEROX CORP 444,353 4,959,000 0.05%
247 CIMAREX ENERGY 51,056 4,966,000 0.05%
248 VIACOM INC NEW 120,846 4,989,000 0.05%
249 CIT GROUP INC 161,097 4,999,000 0.05%
250 DOVER CORP 77,904 5,012,000 0.05%
Page 5 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001228242-16-000046, filed 2016.04.08).

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.