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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 (2016Q3)
Portfolio Summary: 349 holdings with a total value of $19,965,188,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 F5 NETWORKS INC 284,944 35,515,000 0.18%
152 ROPER TECHNOLOGIES INC 194,409 35,474,000 0.18%
153 BIOGEN INC 112,953 35,358,000 0.18%
154 ABBOTT LABS 832,745 35,217,000 0.18%
155 BERKLEY W R CORP 603,292 34,846,000 0.17%
156 ILLINOIS TOOL WKS INC 290,474 34,810,000 0.17%
157 EQUIFAX INC 258,434 34,780,000 0.17%
158 TYSON FOODS INC 464,068 34,652,000 0.17%
159 TJX COS INC NEW 463,360 34,650,000 0.17%
160 NEWELL BRANDS 657,510 34,624,000 0.17%
161 BALL CORP 422,415 34,617,000 0.17%
162 XILINX INC 632,708 34,381,000 0.17%
163 WYNDHAM WORLDWIDE CORP 510,523 34,374,000 0.17%
164 DOLLAR GEN CORP NEW 489,790 34,280,000 0.17%
165 BROADRIDGE FINL SOLUTIONS IN 505,646 34,278,000 0.17%
166 GENERAL MLS INC 534,053 34,115,000 0.17%
167 STAPLES INC 3,978,608 34,017,000 0.17%
168 TRIMBLE INC 1,191,049 34,016,000 0.17%
169 CERNER CORP 546,224 33,729,000 0.17%
170 SCRIPPS NETWORKS INTERACT IN 528,348 33,545,000 0.17%
171 MDU RES GROUP INC 1,318,477 33,542,000 0.17%
172 ROBERT HALF INTL INC 877,229 33,212,000 0.17%
173 BED BATH & BEYOND INC 768,978 33,151,000 0.17%
174 EXPRESS SCRIPTS HLDG CO 467,010 32,938,000 0.16%
175 FORD MTR CO DEL 2,716,032 32,783,000 0.16%
176 MARSH & MCLENNAN COS INC 487,268 32,769,000 0.16%
177 ANALOG DEVICES INC 507,557 32,712,000 0.16%
178 PACCAR INC 555,698 32,664,000 0.16%
179 KANSAS CITY SOUTHERN 346,991 32,381,000 0.16%
180 SCHLUMBERGER LTD 410,583 32,288,000 0.16%
181 THERMO FISHER SCIENTIFIC INC 202,274 32,174,000 0.16%
182 WABTEC CORP 393,140 32,100,000 0.16%
183 FEDEX CORP 183,620 32,075,000 0.16%
184 CITRIX SYS INC 376,266 32,065,000 0.16%
185 AON PLC 284,416 31,994,000 0.16%
186 PNC FINL SVCS GROUP INC 355,012 31,983,000 0.16%
187 ALPHABET INC 39,643 31,875,000 0.16%
188 AVERY DENNISON CORP 409,567 31,860,000 0.16%
189 CARNIVAL CORP 644,880 31,483,000 0.16%
190 MORGAN STANLEY 981,689 31,473,000 0.16%
191 AIR PRODS & CHEMS INC 209,032 31,426,000 0.16%
192 STARBUCKS CORP 579,783 31,389,000 0.16%
193 POLARIS INDS INC 404,584 31,331,000 0.16%
194 AFFILIATED MANAGERS GROUP 213,424 30,882,000 0.15%
195 ALASKA AIR GROUP INC 465,602 30,665,000 0.15%
196 SPROUTS FMRS MKT INC 1,484,227 30,649,000 0.15%
197 GENUINE PARTS CO 303,363 30,473,000 0.15%
198 AUTOLIV INC 283,521 30,280,000 0.15%
199 CHECK POINT SOFTWARE TECH LT 389,237 30,209,000 0.15%
200 DISNEY WALT CO 322,636 29,960,000 0.15%
Page 4 of 7

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001472190-16-000008, filed 2016.10.21).

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.