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Institutional Investment Manager
Employees Retirement System of Texas
Employees Retirement System of Texas (CIK: 0001398739) incorporated in Texas, located at P.O. Box 13207, Austin, TX. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0001398739-17-000006) filed in 2017.02.13
#
Name
Shares
Value ($)
%
Options
Notes
151 NXP SEMICONDUCTORS N V 117,807 11,546 0.16%
152 YUM CHINA HLDGS INC 440,000 11,493 0.16%
153 CTRIP COM INTL LTD 287,000 11,480 0.16%
154 INTERCONTINENTAL EXCHANGE IN 202,390 11,419 0.16%
155 CROWN HOLDINGS INC 216,900 11,402 0.16%
156 BURLINGTON STORES INC 133,000 11,272 0.15%
157 LAUDER ESTEE COS INC 146,122 11,177 0.15%
158 TYSON FOODS INC 181,000 11,164 0.15%
159 BOSTON SCIENTIFIC CORP 507,000 10,966 0.15%
160 PPG INDS INC 115,600 10,954 0.15%
161 MID AMER APT CMNTYS INC 111,486 10,917 0.15%
162 HCP INC 367,000 10,907 0.15%
163 CAMPBELL SOUP CO 180,000 10,885 0.15%
164 MONSANTO CO NEW 103,000 10,837 0.15%
165 FORTIVE CORP 201,500 10,806 0.15%
166 VALERO ENERGY CORP NEW 158,000 10,795 0.15%
167 EQT CORP 164,900 10,784 0.15%
168 AETNA INC NEW 86,381 10,712 0.15%
169 CIGNA CORPORATION 79,000 10,538 0.14%
170 NETFLIX INC 84,900 10,511 0.14%
171 ACTIVISION BLIZZARD INC 291,000 10,508 0.14%
172 EQUITY RESIDENTIAL 163,200 10,504 0.14%
173 DOW CHEM CO 183,000 10,471 0.14%
174 VISTA OUTDOOR INC 276,000 10,184 0.14%
175 EAGLE MATERIALS INC 103,000 10,149 0.14%
176 WELLTOWER INC 150,792 10,093 0.14%
177 VERSUM MATLS INC 354,050 9,938 0.14%
178 HUMANA INC 48,300 9,855 0.13%
179 ENVISION HEALTHCARE CORP 155,000 9,810 0.13%
180 DISCOVER FINL SVCS 134,800 9,718 0.13%
181 FMC TECHNOLOGIES INC 273,000 9,700 0.13%
182 MOLSON COORS BREWING CO 99,000 9,634 0.13%
183 SVB FINL GROUP 56,000 9,613 0.13%
184 EDUCATION RLTY TR INC 226,756 9,592 0.13%
185 CME GROUP INC 83,000 9,574 0.13%
186 REPUBLIC SVCS INC 167,000 9,527 0.13%
187 REYNOLDS AMERICAN INC 169,180 9,481 0.13%
188 COCA COLA CO 228,000 9,453 0.13%
189 SOUTHERN CO 192,000 9,444 0.13%
190 MASCO CORP 298,680 9,444 0.13%
191 BERRY GLOBAL GROUP INC 193,000 9,405 0.13%
192 CARDINAL HEALTH INC 130,500 9,392 0.13%
193 CENTENE CORP DEL 166,000 9,381 0.13%
194 CIMAREX ENERGY 69,000 9,377 0.13%
195 INTERPUBLIC GROUP COS INC 397,000 9,294 0.13%
196 KEYSIGHT TECHNOLOGIES INC 253,000 9,252 0.13%
197 CBS CORP NEW 144,000 9,161 0.12%
198 ALEXION PHARMACEUTICALS INC 74,144 9,072 0.12%
199 UNITED PARCEL SERVICE INC 79,000 9,057 0.12%
200 KROGER CO 262,000 9,042 0.12%
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