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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
351 CHIPOTLE MEXICAN GRILL INC 11,365 6,456 0.04%
352 BOSTON PROPERTIES INC 56,018 6,416 0.04%
353 BROADCOM CORP CL A 202,022 6,360 0.04%
354 HUMANA INC 56,377 6,355 0.04%
355 ROCKWELL AUTOMATION INC 50,825 6,330 0.04%
356 Welltower Inc. 106,136 6,326 0.04%
357 EMCOR GROUP INC 135,095 6,321 0.04%
358 VORNADO REALTY 63,766 6,285 0.04%
359 WEYERHAEUSER CO 214,008 6,281 0.04%
360 LAUDER ESTEE COS INC 93,550 6,257 0.04%
361 WEST PHARMACEUTICAL SVSC INC 141,896 6,251 0.04%
362 LIVE NATION, INC. 286,740 6,237 0.04%
363 MOSAIC CO NEW 124,127 6,206 0.04%
364 NEVSUN RES LTD 1,829,520 6,199 0.04%
365 PAREXEL INTERNATIONAL CORPORATION 114,162 6,175 0.04%
366 CURTISS WRIGHT CORP 96,844 6,153 0.04%
367 SHERWIN WILLIAMS CO 31,176 6,146 0.04%
368 MEAD JOHNSON NUTRITI 73,873 6,142 0.04%
369 MAXIMUS INC 136,924 6,142 0.04%
370 MICHAEL KORS HLDGS LTD 65,700 6,128 0.04%
371 INTUITIVE SURGICAL INC 13,983 6,124 0.04%
372 VERTEX PHARMACEUTICALS INC 86,300 6,103 0.04%
373 BELDEN INC 87,681 6,103 0.04%
374 CERNER CORP 108,324 6,093 0.04%
375 STIFEL FINANCIAL CP 122,380 6,090 0.04%
376 REYNOLDS AMERICAN INC 114,011 6,090 0.04%
377 ANALOG DEVICES INC 114,390 6,079 0.04%
378 CARNIVAL CORP 160,484 6,076 0.04%
379 SOUTHWEST AIRLS CO 257,023 6,068 0.04%
380 MOOG INC CL A 91,543 5,997 0.04%
381 DOLLAR GEN CORP NEW 107,900 5,986 0.04%
382 SOUTHWESTERN ENERGY CO 129,232 5,946 0.04%
383 VIASAT INC 85,600 5,910 0.04%
384 KELLOGG CO 93,984 5,894 0.04%
385 NUCOR CORP 116,595 5,893 0.04%
386 INVESCO LTD 158,614 5,869 0.04%
387 ZIMMER BIOMET HLDGS INC 61,998 5,864 0.04%
388 AVALONBAY COMM 44,497 5,843 0.04%
389 Portfolio Recovery Ass 100,722 5,828 0.04%
390 M & T BK CORP 47,936 5,815 0.04%
391 WOLVERINE WORLD WIDE INC COM 203,450 5,808 0.04%
392 O REILLY AUTOMOTIVE INC NEW 38,980 5,784 0.04%
393 REGIONS FINANCIAL CORP NEW 519,643 5,773 0.04%
394 HARTFORD FINL SVCS GROUP INC 163,429 5,764 0.04%
395 CONSOLIDATED EDISON INC 107,232 5,753 0.04%
396 HERSHEY CO 54,943 5,736 0.04%
397 Pentair plc 72,269 5,734 0.04%
398 EPR PPTYS 106,863 5,705 0.04%
399 FIDELITY NATL INFORMATION SV 106,402 5,687 0.04%
400 BUFFALO WILD WINGS INC 38,003 5,659 0.04%
Page 8 of 25
Restatement filing (0000950123-14-009607) filed in 2014.09.05
#
Name
Shares
Value ($)
%
Options
Notes
1 BLYTH INC 17,154 184 0.00%
2 TOWER GROUP INTERN 78,710 213 0.00%
3 ArQule Inc 110,386 226 0.00%
4 JAKKS PACIFIC INC 34,717 251 0.00%
5 SIGMA DESIGNS INC COM 62,786 299 0.00%
6 PC-TEL INC 35,108 306 0.00%
7 PERICOM SEMICONDUCTOR CORP 41,880 328 0.00%
8 PERRY ELLIS INTL INC 25,035 344 0.00%
9 SPARTAN MTRS INC 69,033 355 0.00%
10 MONARCH CASINO & RESORT INC COM 19,604 363 0.00%
11 VICOR CORP COM 36,465 372 0.00%
12 AGILYSYS INC COM 28,561 383 0.00%
13 QUINSTREET INC COM USD0.001 57,900 384 0.00%
14 ALMOST FAMILY INC COM 16,960 392 0.00%
15 DSP GROUP INC 45,495 393 0.00%
16 CBEYOND INC 56,657 411 0.00%
17 NTELOS HLDGS CORPCOM NEW 30,819 416 0.00%
18 PROCERA NETWORKS INC 41,700 433 0.00%
19 BEL FUSE INC CL B 20,020 438 0.00%
20 SWS GROUP INC 58,780 440 0.00%
21 CROSS CTRY HEALTHCARE INC COM 54,589 441 0.00%
22 VASCO DATA SEC INTL INC 59,000 445 0.00%
23 SENECA FOODS CORP NEW CL A 14,356 452 0.00%
24 FOREST OIL CORP 239,500 457 0.00%
25 KOPIN CORP 123,289 466 0.00%
26 INTEVAC INC COM 48,326 469 0.00%
27 HIGHER ONE HLDGS INC COM 65,656 475 0.00%
28 Alliance One Int 165,449 483 0.00%
29 LUMOS NETWORKS CORP 36,251 485 0.00%
30 CHRISTOPHER & BANKS CORP 73,514 486 0.00%
31 CALAMOS ASSET MANAGEMENT CL A ORD 38,500 498 0.00%
32 C D I CORP 29,094 499 0.00%
33 Sizmek Inc 47,172 501 0.00%
34 CRYOLIFE INC 50,697 505 0.00%
35 ELECTRO SCIENTIFIC INDS 51,365 506 0.00%
36 COHU INC 47,170 507 0.00%
37 CASTLE A M & CO 34,534 507 0.00%
38 XO GROUP INC 50,147 508 0.00%
39 Rubicon Technology 45,300 511 0.00%
40 OLYMPIC STEEL INC 18,356 527 0.00%
41 GENTIVA HEALTH SER 57,847 528 0.00%
42 DIGI INTL INC COM 52,208 530 0.00%
43 GULF ISLAND FABRICATION INC 24,856 537 0.00%
44 LHC GROUP INC 24,610 543 0.00%
45 AUDIOVOX CORP CL A 39,854 545 0.00%
46 PETMED EXPRESS INC 40,699 546 0.00%
47 MEADOWBROOK INSURA 93,643 546 0.00%
48 BANK MUTUAL CORP NEW 87,381 554 0.00%
49 UNIVERSAL TECHNICAL INST INC 42,817 554 0.00%
50 DICE HOLDINGS INC 74,346 555 0.00%
Page 1 of 25