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Institutional Investment Manager
PUBLIC SECTOR PENSION INVESTMENT BOARD
PUBLIC SECTOR PENSION INVESTMENT BOARD (CIK: 0001396318), located at 1250 Rene-Levesque Blvd West, Montreal, A8. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000950123-14-006212) filed in 2014.05.15
#
Name
Shares
Value ($)
%
Options
Notes
801 NABORS INDUSTRIES LTD 95,505 2,354 0.02%
802 NATL PENN BANCSHARES INC 224,646 2,348 0.02%
803 SCANSOURCE INC 57,503 2,344 0.02%
804 AMERICAN ASSETS TR INC COM 69,300 2,338 0.02%
805 STURM RUGER & CO INC 39,058 2,336 0.02%
806 TWITTER INC 50,000 2,334 0.02% Put
807 NATIONAL INFO CONSORTIUM INC 120,700 2,331 0.02%
808 AVON PRODS INC 158,879 2,326 0.02%
809 AMCOL INTERNATIONAL CORP CMN 50,529 2,313 0.01%
810 Invacare Corp 31,842 2,309 0.01%
811 AZZ INC 51,584 2,305 0.01%
812 LINDSAY CORP 26,047 2,297 0.01%
813 GANNETT CO. 83,237 2,297 0.01%
814 HEARTLAND EXPRESS INC COM 100,880 2,289 0.01%
815 GREATBATCH INC 49,694 2,282 0.01%
816 SYNOPSYS INC 96,490 2,280 0.01%
817 CANTEL MEDICAL CORP 67,547 2,278 0.01%
818 OXFORD INDS INC COM 29,106 2,276 0.01%
819 PROGRESS SOFTWARE CORP COM 104,143 2,270 0.01%
820 ATMI INC 66,744 2,270 0.01%
821 OSI SYSTEMS INC COM 37,885 2,268 0.01%
822 LIFE STORAGE INC 204,390 2,263 0.01%
823 GENCORP INC 123,838 2,263 0.01%
824 D R HORTON INC 104,245 2,257 0.01%
825 HFF INC 66,900 2,249 0.01%
826 ROGERS CORP COM 36,032 2,249 0.01%
827 WD-40 CO 28,969 2,247 0.01%
828 QLOGIC CORP 175,500 2,238 0.01%
829 CHILDRENS PL INC 44,898 2,236 0.01%
830 UNIVERSAL FST PRODS INC 40,233 2,226 0.01%
831 FRANKLIN STREET PPTY CP 175,876 2,216 0.01%
832 KAMAN CORP COM 54,305 2,209 0.01%
833 PINNACLE WEST 40,363 2,206 0.01%
834 CINTAS CORP 36,885 2,199 0.01%
835 INTEGRA LIFESCIENCES HLDGS CP COM NEW 47,776 2,197 0.01%
836 METHODE ELECTRS INC COM 71,662 2,197 0.01%
837 BROWN SHOE COMPANY INC 82,762 2,197 0.01%
838 CASH AMER INTL 56,715 2,196 0.01%
839 SABRA HEALTH CARE REIT INC 78,505 2,190 0.01%
840 BOSTON PRIVATE FINANCIAL HLDGS INC (FORM BOSTON PRIVATE BANCORP INC) 161,319 2,183 0.01%
841 CABOT MICROELECTRONICS CP 49,282 2,168 0.01%
842 NBT BANCORP INC COM 88,489 2,164 0.01%
843 MOLINA HEALTHCARE INC 57,508 2,160 0.01%
844 ENCORE CAP GROUP INC 47,250 2,159 0.01%
845 DYCOM INDS INC 68,163 2,155 0.01%
846 CUBIC CORP COM 42,120 2,151 0.01%
847 OM GROUP INC 64,563 2,145 0.01%
848 MATSON INC COM 86,600 2,138 0.01%
849 AGL Resources Inc 43,501 2,130 0.01%
850 SCHULMAN A INC 58,734 2,130 0.01%
Page 17 of 25
Restatement filing (0000950123-14-009607) filed in 2014.09.05
#
Name
Shares
Value ($)
%
Options
Notes
1151 BLACK BOX CORP 31,550 768 0.00%
1152 NATIONAL PRESTO INDS INC COM 9,802 765 0.00%
1153 SYMMETRY MEDICAL I 75,647 761 0.00%
1154 ENTROPIC COMMUNICA 185,643 759 0.00%
1155 RUDOLPH TECHNOLOGIES INC 66,428 758 0.00%
1156 MARINEMAX INC COM 49,667 754 0.00%
1157 HCI GROUP INC 20,400 743 0.00%
1158 TAYLOR CAPITAL GRO 30,800 737 0.00%
1159 UNIVERSAL INS HLDGS INC 57,300 728 0.00%
1160 Dycom Industries Inc 36,301 717 0.00%
1161 GENERAL COMMUNICATION INC 62,083 708 0.00%
1162 MEDIFAST INC COM 24,248 705 0.00%
1163 HAWKINS INC 19,088 701 0.00%
1164 CENTRAL GARDEN & PET CO 84,671 700 0.00%
1165 ORION GROUP HLDGS INC COM 55,116 693 0.00%
1166 SUPERTEX INC CMN 20,998 693 0.00%
1167 PetroQuest Energy 116,819 666 0.00%
1168 RUBY TUESDAY INC COM 116,495 654 0.00%
1169 OPLINK COMMUNICATI 36,355 653 0.00%
1170 HEIDRICK & STRUGGLES INTL INC COM 32,524 653 0.00%
1171 CIBER INC 137,585 630 0.00%
1172 SURMODICS INC COM 27,315 617 0.00%
1173 MARCUS CORP DEL COM 36,597 611 0.00%
1174 BIG 5 SPORTING GOODS CORP 36,021 578 0.00%
1175 KIRKLANDS INC COM 30,414 562 0.00%
1176 DICE HOLDINGS INC 74,346 555 0.00%
1177 BANK MUTUAL CORP NEW 87,381 554 0.00%
1178 UNIVERSAL TECHNICAL INST INC 42,817 554 0.00%
1179 PETMED EXPRESS INC 40,699 546 0.00%
1180 MEADOWBROOK INSURA 93,643 546 0.00%
1181 AUDIOVOX CORP CL A 39,854 545 0.00%
1182 LHC GROUP INC 24,610 543 0.00%
1183 GULF ISLAND FABRICATION INC 24,856 537 0.00%
1184 DIGI INTL INC COM 52,208 530 0.00%
1185 GENTIVA HEALTH SER 57,847 528 0.00%
1186 OLYMPIC STEEL INC 18,356 527 0.00%
1187 Rubicon Technology 45,300 511 0.00%
1188 XO GROUP INC 50,147 508 0.00%
1189 CASTLE A M & CO 34,534 507 0.00%
1190 COHU INC 47,170 507 0.00%
1191 ELECTRO SCIENTIFIC INDS 51,365 506 0.00%
1192 CRYOLIFE INC 50,697 505 0.00%
1193 Sizmek Inc 47,172 501 0.00%
1194 C D I CORP 29,094 499 0.00%
1195 CALAMOS ASSET MANAGEMENT CL A ORD 38,500 498 0.00%
1196 CHRISTOPHER & BANKS CORP 73,514 486 0.00%
1197 LUMOS NETWORKS CORP 36,251 485 0.00%
1198 Alliance One Int 165,449 483 0.00%
1199 HIGHER ONE HLDGS INC COM 65,656 475 0.00%
1200 INTEVAC INC COM 48,326 469 0.00%
Page 24 of 25