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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 (2015Q3)
Portfolio Summary: 374 holdings with a total value of $18,478,181,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 EMERSON ELEC CO 1,015,140 44,839,000 0.24%
102 ENTERGY CORP NEW 688,226 44,804,000 0.24%
103 AMEREN CORP 1,030,202 43,547,000 0.24%
104 CARDINAL HEALTH INC 566,178 43,494,000 0.24%
105 WASTE MGMT INC DEL 861,429 42,908,000 0.23%
106 MARATHON PETE CORP 921,307 42,684,000 0.23%
107 AMERICAN ELEC PWR INC 730,602 41,542,000 0.22%
108 NORFOLK SOUTHERN CORP 537,962 41,100,000 0.22%
109 LUMEN TECHNOLOGIES INC 1,629,354 40,929,000 0.22%
110 CORNING INC 2,315,774 39,646,000 0.21%
111 PROGRESSIVE CORP OHIO 1,273,438 39,018,000 0.21%
112 PINNACLE WEST 601,683 38,592,000 0.21%
113 TEVA PHARMACEUTICAL INDS LTD 677,438 38,248,000 0.21%
114 EXELON CORP 1,287,090 38,227,000 0.21%
115 ARCH CAP GROUP LTD 519,472 38,166,000 0.21%
116 CENTERPOINT ENERGY INC 2,089,240 37,690,000 0.20%
117 ALLIANT ENERGY CORP 633,611 37,060,000 0.20%
118 CUMMINS INC 340,529 36,975,000 0.20%
119 ADECOAGRO S A 4,500,000 35,820,000 0.19%
120 SABRA HEALTH CARE REIT INC 1,538,737 35,668,000 0.19%
121 FORD MTR CO DEL 2,605,840 35,361,000 0.19%
122 DOMINION ENERGY INC 492,632 34,671,000 0.19%
123 MACYS INC 671,477 34,460,000 0.19%
124 AMDOCS LTD 592,219 33,685,000 0.18%
125 HARLEY DAVIDSON INC 610,504 33,517,000 0.18%
126 DELTA AIRLINES INC DEL 745,154 33,435,000 0.18%
127 CELANESE CORP DEL 561,579 33,229,000 0.18%
128 ROCKWELL AUTOMATION INC 326,451 33,125,000 0.18%
129 KIMBERLY CLARK CORP 302,908 33,029,000 0.18%
130 PARKER HANNIFIN CORP 338,759 32,961,000 0.18%
131 DOW CHEM CO 776,518 32,924,000 0.18%
132 OMNICOM GROUP INC 499,535 32,919,000 0.18%
133 SEAGATE TECHNOLOGY PLC 734,684 32,914,000 0.18%
134 STARBUCKS CORP 575,396 32,706,000 0.18%
135 COMPUTER SCIENCES CORP 513,020 31,489,000 0.17%
136 PNC FINL SVCS GROUP INC 352,950 31,483,000 0.17%
137 IHS INC A 270,661 31,397,000 0.17%
138 SYNOPSYS INC 679,741 31,390,000 0.17%
139 URBAN EDGE PPTYS COM 1,449,879 31,303,000 0.17%
140 GAMESTOP CORP NEW 751,629 30,975,000 0.17%
141 AMERICAN TOWER CORP NEW 351,572 30,931,000 0.17%
142 DCT Industrial Trust Inc 914,667 30,788,000 0.17%
143 EASTMAN CHEM CO 474,474 30,708,000 0.17%
144 NETAPP INC 1,035,297 30,645,000 0.17%
145 ISHARES NASDAQ BIOTECHNOLOGY ETF 47,888 30,570,000 0.17%
146 DOVER CORP 532,360 30,440,000 0.16%
147 SOUTHWEST AIRLS CO 797,733 30,346,000 0.16%
148 FOOT LOCKER INC 419,671 30,204,000 0.16%
149 DOLLAR GEN CORP NEW 414,368 30,017,000 0.16%
150 HASBRO INC 410,416 29,607,000 0.16%
Page 3 of 8

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001472190-15-000004, filed 2015.10.28).

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.