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Institutional Investment Manager
PGGM Investments
PGGM Investments (CIK: 0001472190), located at Po Box 117, Zeist, P7. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 377 holdings with a total value of $19,257,897,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 ENTERGY CORP NEW 616,507 43,464,000 0.23%
102 LUMEN TECHNOLOGIES INC 1,467,268 43,108,000 0.22%
103 NORFOLK SOUTHERN CORP 489,732 42,783,000 0.22%
104 ST JUDE MED INC 573,767 41,925,000 0.22%
105 CORNING INC 2,108,405 41,599,000 0.22%
106 ADECOAGRO S A 4,500,000 41,490,000 0.22%
107 CUMMINS INC 314,978 41,322,000 0.21%
108 MACYS INC 602,269 40,635,000 0.21%
109 EXELON CORP 1,292,883 40,622,000 0.21%
110 ROCKWELL AUTOMATION INC 323,195 40,283,000 0.21%
111 WASTE MGMT INC DEL 862,207 39,963,000 0.21%
112 CELANESE CORP DEL 555,897 39,958,000 0.21%
113 SABRA HEALTH CARE REIT INC 1,538,737 39,607,000 0.21%
114 DOW CHEM CO 770,886 39,446,000 0.20%
115 AMERICAN ELEC PWR INC 734,763 38,920,000 0.20%
116 FORD MTR CO DEL 2,586,982 38,831,000 0.20%
117 AMEREN CORP 1,019,853 38,428,000 0.20%
118 EASTMAN CHEM CO 469,579 38,421,000 0.20%
119 EDISON INTL 691,245 38,419,000 0.20%
120 TEVA PHARMACEUTICAL INDS LTD 648,856 38,347,000 0.20%
121 MOSAIC CO NEW 807,408 37,827,000 0.20%
122 PROGRESSIVE CORP OHIO 1,334,429 37,137,000 0.19%
123 PARKER HANNIFIN CORP 311,969 36,291,000 0.19%
124 CENTERPOINT ENERGY INC 1,901,170 36,179,000 0.19%
125 CIGNA CORPORATION 222,549 36,053,000 0.19%
126 KELLOGG CO 560,402 35,137,000 0.18%
127 ARCH CAP GROUP LTD 520,088 34,825,000 0.18%
128 IHS INC A 269,166 34,623,000 0.18%
129 OMNICOM GROUP INC 494,651 34,373,000 0.18%
130 SYNOPSYS INC 675,655 34,222,000 0.18%
131 FOOT LOCKER INC 509,612 34,149,000 0.18%
132 PINNACLE WEST 597,882 34,014,000 0.18%
133 METLIFE INC 604,635 33,854,000 0.18%
134 ALLIANT ENERGY CORP 582,229 33,606,000 0.17%
135 PNC FINL SVCS GROUP INC 350,406 33,516,000 0.17%
136 KOHLS 532,542 33,342,000 0.17%
137 KIMBERLY CLARK CORP 314,201 33,296,000 0.17%
138 AMERICAN TOWER CORP NEW 356,448 33,253,000 0.17%
139 WESTERN DIGITAL CORP 422,901 33,164,000 0.17%
140 DOVER CORP 472,338 33,149,000 0.17%
141 AVERY DENNISON CORP 543,212 33,103,000 0.17%
142 SEAGATE TECHNOLOGY PLC 696,057 33,063,000 0.17%
143 DOMINION ENERGY INC 492,579 32,939,000 0.17%
144 COMPUTER SCIENCES CORP 494,745 32,475,000 0.17%
145 DOLLAR GEN CORP NEW 411,660 32,002,000 0.17%
146 AMDOCS LTD 586,206 32,001,000 0.17%
147 GAMESTOP CORP NEW 743,679 31,948,000 0.17%
148 MICROCHIP TECHNOLOGY 665,524 31,562,000 0.16%
149 HARLEY DAVIDSON INC 559,682 31,538,000 0.16%
150 ROPER TECHNOLOGIES INC 182,381 31,453,000 0.16%
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001472190-15-000003, filed 2015.07.28).

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.