Connor, Clark & Lunn Investment Management Ltd. Q3 2019 Filing

Filed November 13, 2019

Portfolio Value

$14.6B

Holdings

943

Report Date

Q3 2019

Filing Type

13F-HR

All Holdings (943 positions)

StockValue
TMHCTaylor Morrison Home Corp-A
$3.8M
CIBEURBancolombia SA - Spons ADR
$3.8M
STISuntrust Banks Inc.
$3.8M
UFSDomtar Corp
$3.8M
CPRTCopart Inc
$3.8M
HLFHerbalife Nutrition Ltd
$3.7M
WBAWalgreens Boots Alliance Inc
$3.7M
DEODiageo Plc-Spons ADR
$3.7M
HBMHudbay Minerals Inc.
$3.7M
SLBSchlumberger Ltd.
$3.6M
GILDGilead Sciences Inc.
$3.6M
MXMagnachip Semiconducter
$3.6M
UTHUnited Therapeutics Corp
$3.6M
LYGLloyds TSB Group PLC
$3.5M
SYMCEURSymantec Corp.
$3.5M
MCOMoodys Corp.
$3.5M
BUWABio-Rad Laboratories Inc
$3.5M
FDO.FMacy's Inc.
$3.4M
QUADQuad Graphics Inc
$3.4M
KDPKeurig Dr Pepper Inc
$3.4M
CNXCNX Resources Corp
$3.4M
EGPEastgroup Properties
$3.3M
SWCHEURSwitch Inc - A
$3.3M
CARSCars.Com Inc
$3.3M
UPLDUpland Software Inc
$3.3M
HEIHeico Corp
$3.3M
MEDMedifast Inc
$3.3M
CDNSCadence Design Sys Inc
$3.3M
SMSM Energy Co.
$3.3M
GDGeneral Dynamics
$3.2M
TROWPrice (T. Rowe) Associates
$3.2M
MARMarriott Intl Inc.
$3.2M
TMUST-Mobile US Inc.
$3.2M
ARGXArgenx Se
$3.2M
RRDEURRR Donnelley & Sons Co.
$3.1M
EXPDExpeditors Intl Wash Inc
$3.1M
ARIApollo Commercial Real Est. Finance Inc
$3.1M
KTBKontoor Brands Inc
$3.0M
BEPBrookfield Renewable Partners LP
$3.0M
KBIAKB Financial Group Inc - Adr
$3.0M
OSG1EUROverseas Shipholding Group-A
$3.0M
DCHAmerican Axle & Mfg Hldgs
$3.0M
EOGEog Resources
$3.0M
TEXTerex Corp
$3.0M
TGLEURTransglobe Energy Corp
$3.0M
FISVFiserv Inc.
$2.9M
KHCKraft Heinz Co
$2.9M
Arch Coal Inc
$2.9M
SWN1EURSouthwestern Energy Co
$2.9M
DCODucommun
$2.8M
EQREquity Residential Property
$2.8M
NBRNabors Industries
$2.8M
PENGSmart Global Holdings Inc
$2.8M
JKSJinkosolar Holding Co-Adr
$2.8M
TUPTupperware Corp.
$2.7M
LSAKNet 1 Ueps Technologies Inc
$2.7M
CECOCeco Environmental Corp
$2.7M
AGFirst Majestic Silver Corp
$2.7M
SLCAUS Silica Holdings Inc.
$2.7M
BXPBoston Properties REIT
$2.7M
LQDTLiquidity Services Inc
$2.6M
Gnc Holdings Inc-Cl A
$2.6M
USX1USX - US Steel Group Inc.
$2.6M
LGFEURLions Gate Entertainment Corp A Shares
$2.6M
HTLDexpress inc
$2.5M
LDOSLeidos Holdings
$2.5M
Ps Business Parks
$2.5M
CVGICommercial Vehicle Group Inc
$2.5M
AAMIBrightSphere Investment Group PLC
$2.5M
REZIResideo Technologies Inc
$2.5M
RGSUSDRegis Corp/Mn
$2.5M
DSEURDrive Shack Inc
$2.5M
AFWAlign Technology Inc
$2.4M
AMPYAmplify Energy Corp
$2.4M
FOXAFox Corp - Class A
$2.4M
AANUSDAaron's Inc
$2.4M
BTUPeabody Energy Corp
$2.4M
OIIOceaneering International
$2.4M
PLDPrologis Inc.
$2.4M
GMGeneral Motors Company
$2.4M
DYHTarget Corp.
$2.4M
KRCKilroy Realty Corp
$2.4M
CINFCincinnati Financial Corp.
$2.4M
VRTXVertex Pharmaceuticals Inc
$2.3M
VNET21Vianet Group Inc - Adr
$2.3M
IVREURInvesco Mortgage Capital Inc
$2.3M
LPI1EURLaredo Petroleum Holdings
$2.3M
TSLATesla Inc
$2.3M
VRAVera Bradley Inc
$2.2M
NEUNewmarket Corp
$2.2M
NKENike Inc.
$2.2M
Enel Americas SA - Spons ADR
$2.2M
CNCEEURConcert Pharmaceuticals Inc
$2.2M
FROFrontline Ltd.
$2.2M
ILMNIllumina Inc
$2.2M
IMKTAIngles Markets Inc -cl A
$2.2M
PFSIPennymac Financial Service Inc
$2.1M
ANGOAngiodynamics Inc
$2.1M
INGRIngredion Inc
$2.1M
S9QSpirit Aerosystems Hold-cl A
$2.1M
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