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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 (2016Q4)
Portfolio Summary: 1,291 holdings with a total value of $10,255,355,000.
#
Name
Shares
Value ($)
%
Options
Notes
1151 RENT A CENTER INC-NEW 37,470 422,000 0.00%
1152 MATRIX SVC CO COM 18,372 417,000 0.00%
1153 BLUCORA INC 28,198 416,000 0.00%
1154 TREDEGAR CORP COM 17,130 411,000 0.00%
1155 MARCUS CORP DEL COM 12,975 409,000 0.00%
1156 TIMKENSTEEL CORPORATION COM 26,300 407,000 0.00%
1157 NAUTILUS INC 22,000 407,000 0.00%
1158 RESOURCES CONNECTION INC COM 20,972 404,000 0.00%
1159 OPUS BK IRVINE CALIF COM 13,400 403,000 0.00%
1160 ENGILITY HLDGS INC NEW COM 11,876 400,000 0.00%
1161 ULTRATECH INC COM 16,597 398,000 0.00%
1162 OFG BANCORP COM 30,250 396,000 0.00%
1163 VITAMIN SHOPPE INC 16,686 396,000 0.00%
1164 REX AMERICAN RES CORP COM 4,000 395,000 0.00%
1165 RUTHS CHRIS STEAK HSE INC COM 21,463 393,000 0.00%
1166 MARTEN TRANS LTD COM 16,500 384,000 0.00%
1167 INTER PARFUMS INC COM 11,725 384,000 0.00%
1168 DIPLOMAT PHARMACY INC COM 30,500 384,000 0.00%
1169 PHIBRO ANIMAL HEALTH CORP CL A COM 13,111 384,000 0.00%
1170 AEROVIRONMENT INC 14,313 384,000 0.00%
1171 PGT INNOVATIONS INC COM 33,490 383,000 0.00%
1172 DXP ENTERPRISES INC NEW COM NEW 10,997 382,000 0.00%
1173 EZCORP INC CL A NON VTG 35,733 381,000 0.00%
1174 ANGIODYNAMICS INC 22,424 378,000 0.00%
1175 CHUYS HLDGS INC COM 11,600 376,000 0.00%
1176 SCICLONE PHARMACEUTICALS INC 34,500 373,000 0.00%
1177 ICONIX BRAND GROUP INC 39,617 370,000 0.00%
1178 GENERAL COMMUNICATION INC 18,906 368,000 0.00%
1179 HAYNES INTERNATIONAL INC 8,561 368,000 0.00%
1180 CRYOLIFE INC 19,020 364,000 0.00%
1181 CALAMP CORP 25,062 363,000 0.00%
1182 WCI COMMUNITIES ORD 15,400 361,000 0.00%
1183 REGIS CORP MINN COM 24,773 360,000 0.00%
1184 VERITIV CORP 6,666 358,000 0.00%
1185 NATIONAL PRESTO INDS INC COM 3,357 357,000 0.00%
1186 HAWKINS INC 6,566 354,000 0.00%
1187 CROCS INC 51,467 353,000 0.00%
1188 MOTORCAR PTS AMER INC 13,000 350,000 0.00%
1189 CROSS CTRY HEALTHCARE INC COM 22,273 348,000 0.00%
1190 FLOTEK INDS INC DEL COM NEW 36,931 347,000 0.00%
1191 THE PROVIDENCE SERVICE CORP 9,100 346,000 0.00%
1192 XO GROUP INC 17,711 344,000 0.00%
1193 TELETECH HOLDINGS INCORPORATED 11,252 343,000 0.00%
1194 ANI PHARMACEUTICALS INC 5,666 343,000 0.00%
1195 FIDELITY SOUTHERN CORP NEW COM 14,500 343,000 0.00%
1196 MARINEMAX INC COM 17,656 342,000 0.00%
1197 LGI HOMES INC 11,900 342,000 0.00%
1198 AMERICAN VANGUARD CORP COM 17,737 340,000 0.00%
1199 UNIFI INC COM NEW 10,394 339,000 0.00%
1200 TITAN INTL INC ILL COM 30,046 337,000 0.00%
Page 24 of 26

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-002100, filed 2017.02.14).

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.