Ensign Peak Advisors, Inc Q2 2022 Filing

Filed August 12, 2022

Portfolio Value

$42.1B

Holdings

2,161

Report Date

Q2 2022

Filing Type

13F-HR

All Holdings (2,161 positions)

StockValue
ICHRIchor Holdings Ltd
$221.0M
ADBEAdobe Systems Inc
$220.8M
EPDEnterprise Products Partners LP
$218.8M
MOVMovado Group Inc
$218.0M
OPRXOptimizeRx Corp
$217.0M
WNCWabash National Corp
$217.0M
KGCKinross Gold Corp
$217.0M
EBIXEUREbix Inc
$217.0M
TBITrueBlue Inc
$216.0M
CXMSprinklr Inc
$215.0M
MRTNMarten Transport Ltd
$215.0M
HONHoneywell International Inc
$214.3M
ALLOAllogene Therapeutics Inc
$214.0M
PRDOCareer Education Corp
$213.0M
VMEO*Vimeo Inc
$213.0M
SEERSeer Inc
$212.0M
Bluebird Bio Inc
$211.0M
SVMK Inc
$211.0M
AVIRAtea Pharmaceuticals Inc
$211.0M
SKYWSkyWest Inc
$210.0M
ASTEAstec Industries Inc
$208.0M
FREYR Battery SA
$208.0M
HSIHeidrick & Struggles International Inc
$207.0M
SCSCScanSource Inc
$207.0M
INTCIntel Corp
$205.9M
MDLZMondelez International Inc
$205.4M
CDEVEURCentennial Resource Development Inc/DE
$205.0M
HRIHertz Global Holdings Inc
$205.0M
NVRIHarsco Corp
$205.0M
FGENEURFibroGen Inc
$203.0M
CRMSalesforce.com Inc
$203.0M
PACBPacific Biosciences of California Inc
$200.0M
RVLVRevolve Group Inc
$200.0M
BWINBrookfield Residential Properties Inc
$200.0M
ZGZillow Group Inc
$199.0M
HUMHumana Inc
$198.8M
CLDTChatham Lodging Trust
$198.0M
LWLGLightwave Logic Inc
$197.0M
GRTXGalera Therapeutics Inc
$197.0M
BABoeing Co/The
$196.7M
KPTIEURKaryopharm Therapeutics Inc
$196.0M
AVXLAnavex Life Sciences Corp
$196.0M
IOTSamsara Inc
$196.0M
AMTAmerican Tower Corp
$195.7M
T77Tree.com Inc
$195.0M
ATHMAutohome
$195.0M
Aaron's Co Inc/The
$194.0M
RKTRock Tenn Co
$194.0M
Talaris Therapeutics Inc
$193.0M
KTOSKratos Defense & Security Solutions Inc
$192.0M
AIC3.ai Inc
$192.0M
CDLXCardlytics Inc
$190.0M
PS1Computer Programs & Systems Inc
$190.0M
GOGOGogo Inc
$190.0M
ZLABZAI Laboratory
$189.0M
MCSMarcus Corp/The
$188.0M
ELDNTokai Pharmaceuticals Inc
$188.0M
LULufax Hldg
$188.0M
DOMODomo Inc
$188.0M
NKENIKE Inc
$187.4M
PLABPhotronics Inc
$187.0M
UWMCUWM Holdings Corp
$187.0M
CYRXCryoPort Inc
$186.0M
VISNCommScope Holding Co Inc
$185.0M
GSHDGoosehead Insurance Inc
$185.0M
FSVFirstService Corp
$185.0M
CMCSAComcast Corp
$184.4M
WMWaste Management Inc
$184.3M
SAFTSafety Insurance Group Inc
$184.0M
WOOFVCA Inc
$184.0M
HEIHEICO Corp
$184.0M
PAASPan American Silver Corp
$184.0M
PRVAPrivia Health Group Inc
$183.0M
TJXTJX Cos Inc
$182.6M
RGAReinsurance Group of America Inc
$181.0M
DCOMBridge Bancorp Inc
$181.0M
VERAVera Therapeutics Inc
$181.0M
LPGDorian LPG Ltd
$180.0M
IMGNEURImmunoGen Inc
$180.0M
BLFSBioLife Solutions Inc
$179.0M
GFLGFL Environmental Inc
$179.0M
DUOLDuolingo Inc
$177.0M
CNSLEURConsolidated Communications Holdings Inc
$177.0M
EYENational Vision Holdings Inc
$177.0M
BLNKBlink Charging Co
$177.0M
AZNAstraZeneca
$176.0M
TILEInterface Inc
$176.0M
VIRTVirtu Financial Inc
$175.0M
AVGOAvago Technologies Ltd
$174.6M
IWMiShares Russell 2000 ETF
$173.6M
KMIKinder Morgan Inc/DE
$173.2M
KNBEKnowBe4 Inc
$173.0M
AONAon PLC
$172.8M
VNOMViper Energy Partners LP
$172.0M
SPNTThird Point Reinsurance Ltd
$172.0M
ETWOGBPE2open Parent Holdings Inc
$172.0M
NOWServiceNow Inc
$171.5M
WRLDWorld Acceptance Corp
$171.0M
RDFNRedfin Corp
$170.0M
MGNIRubicon Project Inc/The
$170.0M
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