Ensign Peak Advisors, Inc Q3 2020 Filing

Filed November 12, 2020

Portfolio Value

$39.6B

Holdings

1,740

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (1,740 positions)

#StockSharesValue% PortfolioType
801
BROBrown & Brown Inc
313,573$14.2M0.04%
802
INTUIntuit Inc
42,615$13.9M0.04%
803
CPBCampbell Soup Co
284,781$13.8M0.03%
804
CFGCitizens Financial Group Inc
544,413$13.8M0.03%
805
PTCPTC Inc
165,097$13.7M0.03%
806
ATVIEURActivision Blizzard Inc
165,937$13.4M0.03%
807
MDUMDU Resources Group Inc
595,822$13.4M0.03%
808
XLRNAcceleron Pharma Inc
119,024$13.4M0.03%
809
FTSLFirst Trust Senior Loan ETF
290,800$13.4M0.03%
810
KRTXKaruna Therapeutics Inc
171,892$13.3M0.03%
811
WTRGAqua America Inc
329,275$13.3M0.03%
812
KLACKLA-Tencor Corp
67,869$13.1M0.03%
813
BXBlackstone Group LP
250,912$13.1M0.03%
814
MTGMGIC Investment Corp
1,467,675$13.0M0.03%
815
3M4Masimo Corp
55,081$13.0M0.03%
816
MKLMarkel Corp
13,305$13.0M0.03%
817
SYFSynchrony Financial
491,767$12.9M0.03%
818
BKNGBooking Holdings Inc
7,503$12.8M0.03%
819
DOCUDocuSign Inc
59,260$12.8M0.03%
820
OTISOtis Worldwide Corp
203,053$12.7M0.03%
821
ADPAutomatic Data Processing Inc
90,580$12.6M0.03%
822
DPZDomino's Pizza Inc
29,107$12.4M0.03%
823
ALAir Lease Corp
420,702$12.4M0.03%
824
HRCHill-Rom Holdings Inc
146,838$12.3M0.03%
825
IHS Markit Ltd
155,816$12.2M0.03%
826
TREXTrex Co Inc
170,776$12.2M0.03%
827
NVRNVR Inc
2,984$12.2M0.03%
828
FTNTFortinet Inc
103,009$12.1M0.03%
829
ADMArcher-Daniels-Midland Co
258,809$12.0M0.03%
830
HLFHerbalife Ltd
255,825$11.9M0.03%
831
TWSTTwist Bioscience Corp
156,998$11.9M0.03%
832
VOYAVoya Financial Inc
248,503$11.9M0.03%
833
TTDTrade Desk Inc/The
22,849$11.9M0.03%
834
CRICarter's Inc
136,225$11.8M0.03%
835
FICOFair Isaac Corp
27,502$11.7M0.03%
836
HIIHuntington Ingalls Industries Inc
82,980$11.7M0.03%
837
NINiSource Inc
527,816$11.6M0.03%
838
GNRCGenerac Holdings Inc
59,670$11.6M0.03%
839
HHyatt Hotels Corp
216,282$11.5M0.03%
840
SEDGSolarEdge Technologies Inc
48,270$11.5M0.03%
841
CPRTCopart Inc
109,394$11.5M0.03%
842
KELKellogg Co
177,965$11.5M0.03%
843
ENREnergizer Holdings Inc
292,615$11.5M0.03%
844
GEGeneral Electric Co
1,829,326$11.4M0.03%
845
CRLCharles River Laboratories International Inc
50,194$11.4M0.03%
846
TXG10X Genomics Inc
90,920$11.3M0.03%
847
OCOwens Corning
164,565$11.3M0.03%
848
WECWisconsin Energy Corp
115,547$11.2M0.03%
849
GLWCorning Inc
340,830$11.0M0.03%
850
HCATHealth Catalyst Inc
299,065$10.9M0.03%
851
MRVLMarvell Technology Group Ltd
275,372$10.9M0.03%
852
CUZCousins Properties Inc
380,152$10.9M0.03%
853
ZMZoom Video Communications Inc
23,106$10.9M0.03%
854
PBCTEURPeople's United Financial Inc
1,046,355$10.8M0.03%
855
DOCHCP Inc
395,164$10.7M0.03%
856
FOXATwenty-First Century Fox Inc
382,457$10.6M0.03%
857
XPOXPO Logistics Inc
125,424$10.6M0.03%
858
THSTreeHouse Foods Inc
260,839$10.6M0.03%
859
LITELumentum Holdings Inc
140,390$10.5M0.03%
860
EOGEOG Resources Inc
292,921$10.5M0.03%
861
IGSBiShares Trust iShares 1-5 Year Investment Grade Co
191,000$10.5M0.03%
862
HZNPHorizon Pharma Plc
134,926$10.5M0.03%
863
ILMNIllumina Inc
33,881$10.5M0.03%
864
TRMBTrimble Navigation Ltd
213,644$10.4M0.03%
865
GLTorchmark Corp
129,787$10.4M0.03%
866
CABOCable One Inc
5,466$10.3M0.03%
867
Netfin Acquisition Corp
980,480$10.2M0.03%
868
HFCUSDHollyFrontier Corp
509,829$10.0M0.03%
869
PVHPVH Corp
168,070$10.0M0.03%
870
MPTMedical Properties Trust Inc
563,888$9.9M0.03%
871
ATOAtmos Energy Corp
103,908$9.9M0.03%
872
GENSymantec Corp
475,038$9.9M0.03%
873
CyrusOne Inc
140,656$9.9M0.02%
874
DAYCeridian HCM Holding Inc
118,925$9.8M0.02%
875
PIIPolaris Industries Inc
102,841$9.7M0.02%
876
NFGNational Fuel Gas Co
238,431$9.7M0.02%
877
PEGAPegasystems Inc
78,020$9.4M0.02%
878
ZBHZimmer Holdings Inc
69,082$9.4M0.02%
879
ROKRockwell Automation Inc
42,425$9.4M0.02%
880
BKRBaker Hughes a GE Co
701,745$9.3M0.02%
881
QDELUSDQuidel Corp
42,155$9.2M0.02%
882
CPTCamden Property Trust
103,468$9.2M0.02%
883
LENLennar Corp
112,380$9.2M0.02%
884
CDPCorporate Office Properties Trust
386,567$9.2M0.02%
885
CA8ACACI International Inc
42,702$9.1M0.02%
886
XRXXerox Corp
484,771$9.1M0.02%
887
OMCOmnicom Group Inc
183,316$9.1M0.02%
888
NWENorthWestern Corp
185,042$9.0M0.02%
889
CNPCenterPoint Energy Inc
464,122$9.0M0.02%
890
ATRAptarGroup Inc
78,500$8.9M0.02%
891
AWCAmerican Water Works Co Inc
61,035$8.8M0.02%
892
RUNSunrun Inc
114,700$8.8M0.02%
893
HPEHewlett Packard Enterprise Co
943,518$8.8M0.02%
894
SCIService Corp International/US
208,693$8.8M0.02%
895
BSXBoston Scientific Corp
230,356$8.8M0.02%
896
ENPHEnphase Energy Inc
105,935$8.7M0.02%
897
CXOEURConcho Resources Inc
196,755$8.7M0.02%
898
PSXPhillips 66
166,033$8.6M0.02%
899
DRIDarden Restaurants Inc
85,259$8.6M0.02%
900
CRUSCirrus Logic Inc
127,126$8.6M0.02%
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