PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO Q3 2016 Filing

Filed November 18, 2016

Portfolio Value

$16.3B

Holdings

1,853

Report Date

Q3 2016

Filing Type

13F-HR

All Holdings (1,853 positions)

StockValue
HTEURHersha Hospitality Trus
$858K
UHALAmerco
$856K
UEOWestlake Chemical Corp
$853K
Finisar Corp
$852K
RESRpc Inc
$852K
UMBFUmb Financial Corp
$846K
SPHSuburban Propane Partne
$833K
MODNEURModel N Inc
$832K
SF9Sanderson Farms Inc
$827K
USNAUsana Health Sciences I
$825K
Media General Inc
$811K
Walter Investment Manag
$810K
CACCCredit Acceptance Corp
$803K
Tier Reit Inc
$803K
Pandora Media Inc
$802K
GHCGraham Holdings Co
$793K
NSANational Storage Affili
$778K
MLIMueller Industries Inc
$773K
Whiting Petroleum Corp
$773K
FEYECHFFireeye Inc
$771K
Juno Therapeutics Inc
$769K
SWXSouthwest Gas Corp
$765K
YELPYelp Inc
$765K
WENWendy'S Co/The
$760K
LPI1EURLaredo Petroleum Inc
$757K
Convergys Corp
$757K
Vwr Corp
$753K
Synchronoss Technologie
$741K
El Paso Electric Co
$740K
CRUSCirrus Logic Inc
$736K
EXASExact Sciences Corp
$734K
RGCGBPRegal Entertainment Gro
$711K
HOMBHome Bancshares Inc/Ar
$707K
PAGPenske Automotive Group
$702K
First Potomac Realty Tr
$688K
UPBDRent-A-Center Inc/Tx
$686K
Ashford Hospitality Tru
$671K
PRIPrimerica Inc
$665K
SLGNSilgan Holdings Inc
$661K
Chemtura Corp
$659K
USPHUs Physical Therapy Inc
$658K
GMEGamestop Corp
$658K
RMRegional Management Cor
$657K
SATSEchostar Corp
$657K
K6BKbr Inc
$656K
SKYWSkywest Inc
$654K
Silver Bay Realty Trust
$653K
NTGRNetgear Inc
$653K
Cubic Corp
$643K
BDCBelden Inc
$641K
WDRWaddell & Reed Financia
$640K
BOKFBok Financial Corp
$631K
GBYSangamo Biosciences Inc
$623K
TRUTransunion
$618K
NWSNews Corp-B
$613K
Universal Forest Produc
$613K
BRCBrady Corp
$603K
Mimecast Ltd
$596K
KELYAKelly Services Inc
$585K
ROFKforce Inc
$583K
Magellan Health Inc
$583K
CDR1USDCedar Realty Trust Inc
$576K
LBRDALiberty Broadband-A
$574K
AGIOAgios Pharmaceuticals I
$563K
PIPRPiper Jaffray Cos
$560K
CHEChemed Corp
$558K
Franklin Financial Netw
$558K
MIKUSDMichaels Cos Inc/The
$556K
Skullcandy Inc
$552K
Zoe'S Kitchen Inc
$552K
MCHXMarchex Inc
$549K
Northstar Asset Managem
$548K
Aep Industries Inc
$546K
Trinseo Sa
$544K
Essendant Inc
$543K
Intrexon Corp
$542K
Verifone Systems Inc
$542K
SRJSpartannash Co.
$540K
PDLIEURPdl Biopharma Inc
$539K
HTHHilltop Holdings Inc
$538K
Solarcity Corp
$534K
SUXSynnex Corp
$533K
Ep Energy Corp
$528K
FLXNFlexion Therapeutics In
$527K
INOInovio Pharmaceuticals
$526K
ARCBArkansas Best Corp
$522K
Flamel Technologies Sa
$521K
PRAHPra Health Sciences Inc
$519K
FLBFluidigm Corp
$518K
REXRex American Resources
$516K
ZNGAEURZynga Inc
$515K
LMATLemaitre Vascular Inc
$513K
ENTAEnanta Pharmaceuticals
$511K
NXDRKindred Healthcare Inc
$509K
GRPNCHFGroupon Inc
$509K
UVEUniversal Insurance Hol
$507K
PINCPremier Inc
$501K
SCOR1EURComscore Inc
$499K
Great Western Bancorp I
$496K
Perry Ellis Internation
$496K
PreviousPage 13 of 19Next