Connor, Clark & Lunn Investment Management Ltd. Q4 2017 Filing
Filed February 9, 2018
Portfolio Value
$17.1B
Holdings
767
Report Date
Q4 2017
Filing Type
13F-HR
All Holdings (767 positions)
| Stock | Value |
|---|---|
CXOEURConcho Resources Inc | $1.1M |
—Gain capital holdings inc | $1.1M |
NTESNetease.Com Inc-ADR | $1.1M |
SQMQuimica Y Minera Chil - Sp ADR | $1.1M |
SOYSunOpta Inc. | $1.1M |
WDCWestern Digital Corp | $1.1M |
MYLMylan Laboratories NV | $1.1M |
REGIEURRenewable Energy Group Inc | $1.1M |
—Alliance One Intl Inc | $1.0M |
LIONFidelity Southern Corp | $1.0M |
—McDermott International Inc. | $1.0M |
HDSUSDHD Supply Holdings Inc | $1.0M |
—Woori Bank Adr | $1.0M |
ULUnilever PLC Spons ADR | $991K |
—Freds Inc | $969K |
—Ascent Capital Group Inc. | $953K |
KLICKulicke & Soffa Industries | $941K |
PAYXPaychex Inc. | $933K |
ACGLArch Cap Group | $926K |
MACKEURMerrimack Pharmaceuticals Inc | $909K |
INCYIncyte Corp | $909K |
—AutoWeb Inc | $908K |
SVMSilvercorp Metals Inc. | $907K |
CERNCHFCerner Corp | $900K |
PLABPhotronics Inc | $899K |
FFFuturefuel Corp | $895K |
ADIAnalog Devices | $889K |
GNTXGentex Corp | $887K |
—Iconix Brand Group Inc | $880K |
IBNICICI Bank Ltd-Spon ADR | $867K |
VEEVVeeva Systems Inc-Class A | $857K |
APHAmphenol Corp | $854K |
IMGNEURImmunogen Inc | $853K |
FLBFluidigm corp | $853K |
CVGICommercial Vehicle Group Inc | $852K |
—Retrophin Inc. | $852K |
HDBHdfc Bank Ltd Adr | $824K |
CBChubb Ltd | $822K |
SPNEUSDSeaspine Holdings Corp | $816K |
—Quorum Health Corp | $803K |
SRESempra Energy | $799K |
—Metalico | $794K |
MEIPUSDMei Pharma Inc | $794K |
UMCUnited Microelectronics Corp Adr | $787K |
SENEASeneca Foods Corporation | $781K |
—Liberty Expedia Hold-A | $780K |
KOFCoca-Cola Femsa SAB de CV | $780K |
PCARPaccar Inc. | $778K |
RRNRed Robin Gourmet Burgers | $773K |
GSMFerroglobe PLC | $772K |
—Phoenix New Media Ltd -Adr | $772K |
—Zafgen Inc | $766K |
—Finish Line Inc -Cl A | $759K |
NUSNu Skin Enterprises -Cl A | $757K |
AXASEURAbraxas Pete | $749K |
LEAFLeaf Group Ltd. | $742K |
—Kindred Biosciences Inc | $741K |
EXPEExpedia Inc. | $740K |
ASPSAltisource Portfolio Slt | $740K |
DVNDevon Energy Corp. | $738K |
ATHSAthene Holding Ltd-Class A | $729K |
DLTRDollar Tree Stores Inc | $716K |
PDCOEURPatterson Cos Inc | $709K |
ORLYO'Reilly Automotive Inc. | $704K |
KROKronos Worldwide Inc | $700K |
—Eclipse Resources Corp | $692K |
ADVMCHFAdverum Biotechnologies Inc | $684K |
KMBKimberly Clark Corp. | $684K |
—Liberty Ventures A | $681K |
CBZCBIZ Inc | $679K |
BNEDBarnes & Noble Education Inc | $677K |
35VVEON Ltd. ADR | $676K |
MHOM/i Schottenstein Homes Inc | $672K |
CMGChipotle Mexican Grill Inc | $672K |
TBITrueBlue Inc. | $670K |
WCGEURWellcare Health Plans Inc | $659K |
—Axovant Sciences Ltd | $657K |
—Tower International Inc | $655K |
FISVFiserv Inc. | $652K |
CNXCNX Resources Corp | $648K |
STZConstellation Brands Class A | $634K |
—Pioneer Energy Services Corp. | $632K |
AESAES Corp. | $628K |
DOWDowDuPont Inc | $626K |
BMRNBiomarin Pharmaceutical Inc | $624K |
AWMSkyworks Solutions Inc | $620K |
—Channeladvisor Corp | $620K |
CMCOColumbus Mckinnon Corp | $605K |
SNPUSDChina Petroleum & Chemical Cor Adr | $602K |
—Flotek Inds Inc Del | $599K |
G9NGrupo Aeroportuario Del Pacifi Adr | $597K |
OSBCOld Second Bancorp Inc/il | $595K |
TCSUSDThe Container Store Group | $594K |
PHIPldt Inc-Spon Adr | $593K |
NGNovagold Resources Inc | $592K |
ARDXArdelyx Inc | $592K |
TLYSTilly's Inc | $572K |
PBRPetroleo Brasileiro | $569K |
MLB1Mercadolibre Inc | $568K |
—Care.com Inc | $567K |