Ensign Peak Advisors, Inc Q3 2021 Filing

Filed November 12, 2021

Portfolio Value

$48.0B

Holdings

1,851

Report Date

Q3 2021

Filing Type

13F-HR

All Holdings (1,851 positions)

#StockSharesValue% PortfolioType
501
D0ADada Nexus 1 ADS Representing 4 Ord Shs
4,100$82.0M0.17%
502
VRTXVertex Pharmaceuticals Inc
447,212$81.1M0.17%
503
Alimera Sciences Inc
19,151$81.0M0.17%
504
BSXBoston Scientific Corp
1,838,293$79.8M0.17%
505
RTXUnited Technologies Corp
925,294$79.5M0.17%
506
CARRCarrier Global Corp
1,532,879$79.3M0.17%
507
MARMarriott International Inc/DE
530,679$78.6M0.16%
508
FISVFiserv Inc
723,077$78.5M0.16%
509
WNSNWNS Holdings ADR repsg 1 Ord Shs
958,880$78.4M0.16%
510
DGIIDigi International Inc
3,700$78.0M0.16%
511
RRyder System Inc
931,646$77.1M0.16%
512
Arrival Group
5,875$77.0M0.16%
513
UHTUniversal Health Realty Income Trust
1,400$77.0M0.16%
514
MERCMercer International Inc
6,500$75.0M0.16%
515
RCOResources Connection Inc
4,700$74.0M0.15%
516
FSPFranklin Street Properties Corp
15,800$73.0M0.15%
517
FISFidelity National Information Services Inc
598,350$72.8M0.15%
518
USBUS Bancorp/MN
1,216,005$72.3M0.15%
519
HEIHEICO Corp
593,138$70.2M0.15%
520
BZUNBaozun ADR Representing 3 Ord Shs
3,950$69.0M0.14%
521
XYZSquare Inc
284,915$68.3M0.14%
522
VRAVera Bradley Inc
7,200$68.0M0.14%
523
APTVAptiv PLC
450,778$67.2M0.14%
524
AMEAMETEK Inc
528,924$65.6M0.14%
525
DDDuPont de Nemours Inc
955,332$65.0M0.14%
526
INDAiShares MSCI India ETF
1,333,480$64.9M0.14%
527
EFAiShares MSCI EAFE ETF
830,302$64.8M0.13%
528
Athene Holding Ltd
934,967$64.4M0.13%
529
PEOExelon Corp
1,325,009$64.1M0.13%
530
MCKMcKesson Corp
319,423$63.7M0.13%
531
YPFYPF Sociedad Anonima ADR Each Representing One Cla
13,500$63.0M0.13%
532
KMIKinder Morgan Inc/DE
3,763,886$63.0M0.13%
533
CBRECBRE Group Inc
643,057$62.6M0.13%
534
TIGRUP Fintech Holding ADR
5,900$62.0M0.13%
535
ACNAccenture PLC
193,688$62.0M0.13%
536
Chindata Group Holding ADR Representing 2 Ord Shs
7,250$61.0M0.13%
537
LNCLincoln National Corp
874,933$60.2M0.13%
538
OCULOcular Therapeutix Inc
6,000$60.0M0.13%
539
FTVFortive Corp
847,790$59.8M0.12%
540
BPOPPopular Inc
760$59.0M0.12%
541
MASMasco Corp
1,055,583$58.6M0.12%
542
PNCPNC Financial Services Group Inc/The
297,380$58.2M0.12%
543
DAVAEndava American Depository Shares Representing 1 C
427,650$58.1M0.12%
544
HTAEURHealthcare Trust of America Inc
1,965$58.0M0.12%
545
TWLOTwilio Inc
180,467$57.6M0.12%
546
NSPInsperity Inc
511,970$56.7M0.12%
547
BKRBaker Hughes a GE Co
2,283,388$56.5M0.12%
548
AOSAO Smith Corp
924,196$56.4M0.12%
549
VLOValero Energy Corp
792,460$55.9M0.12%
550
KHCKraft Heinz Co/The
1,512,300$55.7M0.12%
551
ORCLOracle Corp
638,418$55.6M0.12%
552
NSCNorfolk Southern Corp
232,263$55.6M0.12%
553
BNRBurning Rock Biotech Ltd
3,050$55.0M0.11%
554
BXBlackstone Group LP
472,318$54.9M0.11%
555
REGNRegeneron Pharmaceuticals Inc
89,888$54.4M0.11%
556
WDAYWorkday Inc
217,022$54.2M0.11%
557
DNABWGinkgo Bioworks Holdings Inc
16,100$54.0M0.11%
558
VRSKVerisk Analytics Inc
266,162$53.3M0.11%
559
HNGRUSDHanger Inc
2,400$53.0M0.11%
560
KELYAKelly Services Inc
2,800$53.0M0.11%
561
REYNReynolds Consumer Products Inc
1,931$53.0M0.11%
562
RYRoyal Bank of Canada
527,487$52.5M0.11%
563
CLXClorox Co/The
316,583$52.4M0.11%
564
CRWDCrowdstrike Holdings Inc
211,093$51.9M0.11%
565
EQIXEquinix Inc
64,951$51.3M0.11%
566
FMCFMC Corp
558,138$51.1M0.11%
567
TRSTTrustCo Bank Corp NY
1,580$51.0M0.11%
568
PPLPPL Corp
1,817,263$50.7M0.11%
569
QCOMQUALCOMM Inc
391,390$50.5M0.11%
570
S76STORE Capital Corp
1,575,401$50.5M0.11%
571
AXPAmerican Express Co
300,347$50.3M0.10%
572
PS1Computer Programs & Systems Inc
1,400$50.0M0.10%
573
LYFTLyft Inc
920$49.0M0.10%
574
PSAPublic Storage
162,194$48.2M0.10%
575
WCNProgressive Waste Solutions Ltd
379,580$47.8M0.10%
576
MTDMettler-Toledo International Inc
34,561$47.6M0.10%
577
ZTSZoetis Inc
244,070$47.4M0.10%
578
PEGAPegasystems Inc
370,747$47.1M0.10%
579
HSYHershey Co/The
277,745$47.0M0.10%
580
GEGeneral Electric Co
453,177$46.7M0.10%
581
TMUST-Mobile US Inc
359,789$46.0M0.10%
582
SYYSysco Corp
584,778$45.9M0.10%
583
MDBMongoDB Inc
97,219$45.8M0.10%
584
ASMLASML Holding NV
61,326$45.7M0.10%
585
7HPHewlett-Packard Co
1,657,525$45.4M0.09%
586
ELDNTokai Pharmaceuticals Inc
7,228$45.0M0.09%
587
MRVLMarvell Technology Group Ltd
743,537$44.8M0.09%
588
AVBAvalonBay Communities Inc
197,513$43.8M0.09%
589
HCAHCA Holdings Inc
179,815$43.6M0.09%
590
AREAlexandria Real Estate Equities Inc
226,309$43.2M0.09%
591
LENLennar Corp
457,776$42.9M0.09%
592
IDXXIDEXX Laboratories Inc
68,857$42.8M0.09%
593
LEALear Corp
265,264$41.5M0.09%
594
SNOWIntrawest Resorts Holdings Inc
136,027$41.1M0.09%
595
HUYAHUYA ADR
4,900$41.0M0.09%
596
HCSGHealthcare Services Group Inc
1,625,521$40.6M0.08%
597
AMEDAmedisys Inc
271,442$40.5M0.08%
598
AZOAutoZone Inc
23,791$40.4M0.08%
599
DORMDorman Products Inc
425,565$40.3M0.08%
600
NXPINXP Semiconductor NV
204,471$40.0M0.08%
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