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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 (2016Q4)
Portfolio Summary: 692 holdings with a total value of $11,402,879,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 KEYCORP 719,454 13,144,000 0.12%
202 PRICE T ROWE GROUP INC 173,771 13,078,000 0.11%
203 DEVON ENERGY CORP NEW 285,599 13,043,000 0.11%
204 REGIONS FINANCIAL CORP NEW 898,438 12,902,000 0.11%
205 EVERSOURCE ENERGY 233,186 12,879,000 0.11%
206 INTL PAPER CO 242,621 12,873,000 0.11%
207 STANLEY BLACK &DECKER INC 111,943 12,839,000 0.11%
208 HCA HOLDINGS INC 173,292 12,827,000 0.11%
209 DR PEPPER SNAPPLE GROUP INC 140,496 12,739,000 0.11%
210 SHERWIN WILLIAMS CO 47,295 12,710,000 0.11%
211 AVALONBAY COMM 71,708 12,703,000 0.11%
212 EMERSON ELEC CO 226,796 12,644,000 0.11%
213 INVESCO LTD 415,625 12,610,000 0.11%
214 BAXTER INTL INC 282,804 12,540,000 0.11%
215 SABRE CORP 500,722 12,493,000 0.11%
216 CBS CORP NEW 193,398 12,304,000 0.11%
217 WEYERHAEUSER CO 401,841 12,091,000 0.11%
218 NOBLE ENERGY INC 315,374 12,003,000 0.11%
219 WABCO 112,950 11,990,000 0.11%
220 EDWARDS LIFESCIENCES CORP 127,926 11,987,000 0.11%
221 NEWELL BRANDS 265,387 11,850,000 0.10%
222 HILTON WORLDWIDE HLDGS INC 434,041 11,806,000 0.10%
223 PUBLIC STORAGE 52,604 11,757,000 0.10%
224 M & T BK CORP 74,900 11,717,000 0.10%
225 YUM BRANDS INC 184,836 11,706,000 0.10%
226 NUCOR CORP 196,530 11,697,000 0.10%
227 MOODYS CORP 122,583 11,556,000 0.10%
228 ACTIVISION BLIZZARD INC 319,380 11,533,000 0.10%
229 CARDINAL HEALTH INC 160,039 11,518,000 0.10%
230 WELLTOWER INC 171,988 11,511,000 0.10%
231 EBAY INC 382,960 11,370,000 0.10%
232 T-MOBILE 197,179 11,340,000 0.10%
233 CITIZENS FINL GROUP INC 317,864 11,325,000 0.10%
234 ANALOG DEVICES INC 155,387 11,284,000 0.10%
235 WESTERN DIGITAL CORP 165,991 11,279,000 0.10%
236 CONSOLIDATED EDISON INC 152,422 11,230,000 0.10%
237 KROGER CO 323,161 11,152,000 0.10%
238 CONCHO RESOURCES 83,979 11,136,000 0.10%
239 DELPHI AUTOMOTIVE PLC 163,889 11,038,000 0.10%
240 ROCKWELL COLLINS INC 118,919 11,031,000 0.10%
241 PACCAR INC 171,188 10,939,000 0.10%
242 VERTEX PHARMACEUT 148,000 10,903,000 0.10%
243 HELMERICH & PAYNE INC 140,308 10,860,000 0.10%
244 CUMMINS INC 78,894 10,782,000 0.09%
245 TYSON FOODS INC 174,092 10,738,000 0.09%
246 VULCAN MATLS CO 85,454 10,695,000 0.09%
247 MICROCHIP TECHNOLOGY 166,661 10,691,000 0.09%
248 BOSTON SCIENTIFIC CORP 492,884 10,661,000 0.09%
249 TWENTY FIRST CENTY FOX INC 380,180 10,660,000 0.09%
250 ELECTRONIC ARTS INC 135,159 10,645,000 0.09%
Page 5 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001228242-17-000002, filed 2017.02.09).

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.