Dark
Light
System
Institutional Investment Manager
Alberta Investment Management Corp
Alberta Investment Management Corp (CIK: 0001463559), located at 1600-10250 101 Street Nw, Edmonton, A0. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0000950123-16-018724) filed in 2016.08.03
#
Name
Shares
Value ($)
%
Options
Notes
351 LEVEL 3 COMMUNICATIONS ORD 94,735 4,878 0.06%
352 LIBERTY PROPERTY TRUST 39,690 1,576 0.02%
353 LIBERTY TRIPADVISOR HLDGS INC COM SER A 9,900 217 0.00%
354 LINDBLAD EXPEDITIONS HLDGS I 16,100 155 0.00%
355 LINKEDIN CORP 7,500,000 7,415 0.08% PRN
356 LIONS GATE ENTERTN 47,040 952 0.01%
357 LKQ Corp 238,500 7,560 0.09%
358 LOWES COS INC 82,200 6,508 0.07%
359 LULULEMON ATHLETICA ORD 24,400 1,802 0.02%
360 La Quinta Holdings, Inc. 36,400 415 0.00%
361 Leidos Holdings Inc 16,800 804 0.01%
362 Lennox Int'l Inc Ordinary 21,215 3,025 0.03%
363 Lexicon Pharmaceuticals Inc 13,600 195 0.00%
364 Lifepoint Hospitals Inc 225,000 8,494 0.10%
365 MACERICH CO/THE 88,600 7,566 0.09%
366 MAGELLAN HEALTH INC 8,000 526 0.01%
367 MAGNA INTL INC 2,175,800 98,673 1.13%
368 MANPOWERGROUP INC 75,900 4,883 0.06%
369 MANULIFE FINL CORP 2,646,900 46,771 0.53%
370 MARKEL CORP 2,300 2,191 0.02%
371 MASTEC INC 34,720 775 0.01%
372 MASTERCARD INCORPORATED 223,700 19,699 0.22%
373 MCCORMICK & CO INC 98,900 10,550 0.12%
374 MCDONALDS CORP 268,900 32,359 0.37%
375 MDU RESOURCES GROUP INC 51,500 1,236 0.01%
376 MEDIDATA SOLUTIONS INC 201,400 9,440 0.11%
377 MEDIFAST INC 13,600 452 0.01%
378 MEDNAX INC 25,300 1,832 0.02%
379 MEMORIAL RESOURCE DEV CORP 350,000 5,558 0.06%
380 MERCK & CO INC NEW 73,500 4,234 0.05%
381 MERUS LABS 1,352,981 2,232 0.03%
382 MFA FINL INC 90,000 654 0.01%
383 MGE ENERGY INC 10,800 610 0.01%
384 MGM Resorts International 118,540 2,683 0.03%
385 MICRON TECHNOLOGY INC 446,600 6,145 0.07%
386 MICROSEMI ORD 112,325 3,671 0.04%
387 MICROSOFT CORP 1,579,600 80,828 0.92%
388 MILACRON HLDGS CORP 7,972,499 115,681 1.32%
389 MISTRAS GROUP INC 13,000 310 0.00%
390 MITEL NETWORKS ORD 278,790 2,179 0.02%
391 MOHAWK INDS INC 58,300 11,063 0.13%
392 MOLINA HEALTHCARE ORD 41,500 2,071 0.02%
393 MONSANTO CO NEW 242,900 25,118 0.29%
394 MOTOROLA SOLUTIONS INC 213,500 14,085 0.16%
395 MSCI ORD 37,580 2,898 0.03%
396 MSG NETWORKS INC 10,800 166 0.00%
397 MTS SYSTEMS CORP 10,700 469 0.01%
398 MURPHY OIL CORP 14,100 448 0.01%
399 Macy's Group Inc Ordinary 21,700 729 0.01%
400 Marriott Vacations Worldwide C 10,415 713 0.01%
Page 8 of 14