Connor, Clark & Lunn Investment Management Ltd. Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$16.7B

Holdings

798

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (798 positions)

StockValue
OFGOriental Financial Group Inc
$626K
Shiloh Industries Inc
$623K
AIRAar Corp
$602K
AALAmerican Airlines Group Inc
$600K
ULTAUlta Salon Cosmetcs & Frag
$593K
Aimmune Therapeutics Inc
$590K
FISVFiserv Inc.
$587K
HBBHamilton Beach Brand - A
$583K
Zafgen Inc
$583K
Pioneer Energy Services Corp.
$581K
OSBCOld Second Bancorp Inc/il
$580K
Tower International Inc
$580K
ARRYEURArray Biopharma Inc
$578K
G9NGrupo Aeroportuario Del Pacifi Adr
$577K
IPHSEURInnophos Holdings Inc
$577K
HSICSchein Henry Inc
$574K
Willbros Group
$572K
Cardtronics PLC
$572K
AAWWUSDAtlas Air Worldwide Hldg Inc
$568K
NGNovagold Resources Inc
$561K
IPGPIpg Photonics Corp
$560K
Magellan Health Inc
$558K
FLBFluidigm corp
$556K
SPOKSpok Holdings Inc
$552K
CWSTCasella Waste Sys Inc -cl A
$542K
BIDSotheby'S Holdings -Cl A
$538K
DINDine Equity Inc
$531K
SIRIEURSirius XM Holdings Inc
$529K
COHREURCoherent Inc
$529K
LEAFLeaf Group Ltd.
$525K
MACKEURMerrimack Pharmaceuticals Inc
$520K
Bazaarvoice Inc.
$518K
Analogic Corp
$509K
UNUSDUnilever NV
$508K
Quorum Health Corp
$501K
LPXLouisiana-Pacific Corp.
$495K
RICKRCI Hospitality Holdings Inc
$493K
CCXIEURChemocentryx
$488K
VIABViacom Inc. Class B
$487K
CMTCore Molding Technologies Inc
$487K
9990302DApache Corp.
$479K
Jones Energy Inc
$478K
MCRIMonarch Casino & Resort Inc
$475K
TBITrueBlue Inc.
$470K
WYNNWynn Resorts Ltd
$465K
CPSCooper-Standard Holding
$464K
PHIPldt Inc-Spon Adr
$458K
Liberty Expedia Hold-A
$446K
CLBCore Laboratories N.V
$439K
CRVSCorvus Pharmaceuticals Inc
$432K
NCLHNorwegian Cruise Line Holdin
$432K
SSUPSuperior Industries Intl
$430K
CTXSEURCitrix Systems
$428K
YUMCYum China Holdings
$428K
Dun & Bradstreet Corp
$410K
RYIRyerson Holding Corp
$409K
CHS1USDChicos Fas Inc
$404K
Dicerna Pharmaceuticals Inc
$397K
Vitamin Shoppe
$394K
Flotek Inds Inc Del
$393K
ESEversource Energy
$391K
Mechel PAO
$390K
ARDXArdelyx Inc
$389K
AMXNAmerica Movil Series L ADR
$383K
CCKCrown Holdings Inc
$382K
DKDelek US Holdings Inc
$372K
DHXDHI Group Inc
$370K
FSBCFive Star Senior Living Inc
$369K
WMWaste Management Inv.
$364K
USNAUsana Health Sciences Inc
$364K
WLFCWillis Lease Finance Corporation
$364K
DLTRDollar Tree Stores Inc
$362K
CLSCA Inc.
$361K
Realnetworks Inc
$360K
IEIInsight Enterprises Inc
$359K
XLNXEURXilinx Inc.
$358K
Platform Specialty Products
$356K
Avid Technology Inc
$354K
Carbonite Inc
$348K
Black Box Corp
$346K
KROKronos Worldwide Inc
$344K
WBWeibo Corp-Spon Adr
$344K
IDIInterdigital Inc
$339K
Limelight Networks Inc
$338K
NDSNNordson Corp
$338K
Ignyta Inc
$337K
BG3Big 5 Sporting Goods Corp
$337K
Pico Holdings Inc
$334K
Rite Aid Corp
$331K
Immune Design Corp
$330K
NWPXNorthwest Pipe
$326K
VOXXVOXX International Inc.
$317K
Oncomed Pharmaceuticals Inc
$316K
MPCMarathon Petroleum Corp
$315K
NXDRKindred Healthcare Inc
$314K
BRKRBruker Biosciences Corp
$314K
Peregrine Pharmaceuticls Inc
$310K
biotime inc
$309K
Cascadian Therapeutics Inc
$307K
Harte Hanks Inc
$307K
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