Ensign Peak Advisors, Inc Q4 2019 Filing

Filed February 14, 2020

Portfolio Value

$37.9B

Holdings

1,659

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (1,659 positions)

#StockSharesValue% PortfolioType
401
SPYSPDR S&P 500 ETF Trust
239,740$77.2M0.20%
402
Pluralsight Inc
4,461,122$76.8M0.20%
403
BMYBristol-Myers Squibb Co
1,149,661$73.8M0.19%
404
WEPMagellan Midstream Partners LP
1,155,500$72.6M0.19%
405
AMGNAmgen Inc
297,990$71.8M0.19%
406
SNASnap-on Inc
423,960$71.8M0.19%
407
SHWSherwin-Williams Co/The
121,296$70.8M0.19%
408
AVGOAvago Technologies Ltd
222,130$70.2M0.19%
409
DGDollar General Corp
443,395$69.2M0.18%
410
DYHTarget Corp
536,759$68.8M0.18%
411
TDToronto-Dominion Bank/The
1,222,107$68.6M0.18%
412
SYYSysco Corp
789,934$67.6M0.18%
413
RBAGBPRitchie Bros Auctioneers Inc
1,548,165$66.5M0.18%
414
TC Pipelines LP
1,524,925$64.5M0.17%
415
AEPAmerican Electric Power Co Inc
675,559$63.8M0.17%
416
CMICummins Inc
353,745$63.3M0.17%
417
FMCFMC Corp
632,880$63.2M0.17%
418
AZOAutoZone Inc
50,617$60.3M0.16%
419
HONHoneywell International Inc
339,916$60.2M0.16%
420
CLXClorox Co/The
389,314$59.8M0.16%
421
MDTMedtronic Inc
515,375$58.5M0.15%
422
ACNAccenture PLC
272,633$57.4M0.15%
423
GILDGilead Sciences Inc
875,415$56.9M0.15%
424
WMWaste Management Inc
496,767$56.6M0.15%
425
IBMInternational Business Machines Corp
417,672$56.0M0.15%
426
CRNXCrinetics Pharmaceuticals Inc
2,208$55.0M0.15%
427
LNCLincoln National Corp
928,207$54.8M0.14%
428
UALUnited Continental Holdings Inc
605,946$53.4M0.14%
429
AWMSkyworks Solutions Inc
441,491$53.4M0.14%
430
LRCXEURLam Research Corp
179,311$52.4M0.14%
431
METMetLife Inc
1,019,763$52.0M0.14%
432
VOYAVoya Financial Inc
851,121$51.9M0.14%
433
XRXXerox Corp
1,384,541$51.0M0.13%
434
RSReliance Steel & Aluminum Co
415,918$49.8M0.13%
435
VSTVistra Energy Corp
2,158,304$49.6M0.13%
436
Brookfield Property Partners LP
2,656$49.0M0.13%
437
PNWPinnacle West Capital Corp
544,041$48.9M0.13%
438
MDLZMondelez International Inc
882,580$48.6M0.13%
439
FFIVF5 Networks Inc
346,483$48.4M0.13%
440
NSPInsperity Inc
552,426$47.5M0.13%
441
PCARPACCAR Inc
597,263$47.2M0.12%
442
ESLTElbit Systems Ltd
300$47.0M0.12%
443
EFAiShares MSCI EAFE ETF
673,525$46.8M0.12%
444
PEOExelon Corp
1,023,558$46.7M0.12%
445
RRyder System Inc
856,137$46.5M0.12%
446
ETNEaton Corp PLC
490,102$46.4M0.12%
447
PSAPublic Storage
217,644$46.3M0.12%
448
HSTHost Hotels & Resorts Inc
2,496,676$46.3M0.12%
449
JAZZJazz Pharmaceuticals Plc
309,340$46.2M0.12%
450
DDDuPont de Nemours Inc
718,772$46.1M0.12%
451
VCITVanguard Intermediate-Term Corporate Bond ETF
500$46.0M0.12%
452
HEIHEICO Corp
400$46.0M0.12%
453
CATCaterpillar Inc
309,056$45.6M0.12%
454
LUVSouthwest Airlines Co
843,696$45.5M0.12%
455
KMBKimberly-Clark Corp
328,336$45.2M0.12%
456
SYFSynchrony Financial
1,250,046$45.0M0.12%
457
GSLCGoldman Sachs ActiveBeta U.S. Large Cap Equity ETF
694,233$44.9M0.12%
458
ALLYAlly Financial Inc
1,465,049$44.8M0.12%
459
DWDMorgan Stanley
872,981$44.6M0.12%
460
RCLRoyal Caribbean Cruises Ltd
331,273$44.2M0.12%
461
ELEstee Lauder Cos Inc/The
214,053$44.2M0.12%
462
HCAHCA Holdings Inc
296,674$43.9M0.12%
463
HUMHumana Inc
116,469$42.7M0.11%
464
ABBVAbbVie Inc
479,477$42.5M0.11%
465
EPAMEPAM Systems Inc
198,332$42.1M0.11%
466
COFCapital One Financial Corp
402,859$41.5M0.11%
467
STLDSteel Dynamics Inc
1,208,359$41.1M0.11%
468
WBAWalgreens Boots Alliance Inc
692,550$40.8M0.11%
469
QRVOQorvo Inc
348,526$40.5M0.11%
470
XELXcel Energy Inc
635,169$40.3M0.11%
471
CFGCitizens Financial Group Inc
992,603$40.3M0.11%
472
ALSAllstate Corp/The
354,315$39.8M0.11%
473
IJHiShares Core S&P Mid-Cap ETF
192,608$39.6M0.10%
474
PRUPrudential Financial Inc
421,275$39.5M0.10%
475
ORCLOracle Corp
742,258$39.3M0.10%
476
EBAeBay Inc
1,082,981$39.1M0.10%
477
Talend SA
996$39.0M0.10%
478
DRIDarden Restaurants Inc
357,682$39.0M0.10%
479
Laboratory Corp of America Holdings
230,469$39.0M0.10%
480
LLYEli Lilly & Co
296,534$39.0M0.10%
481
DGXQuest Diagnostics Inc
364,259$38.9M0.10%
482
NUENucor Corp
687,040$38.7M0.10%
483
VRSNVeriSign Inc
200,233$38.6M0.10%
484
ALSNAllison Transmission Holdings Inc
797,620$38.5M0.10%
485
UHSUniversal Health Services Inc
267,984$38.4M0.10%
486
ADIAnalog Devices Inc
322,056$38.3M0.10%
487
INGRIngredion Inc
406,550$37.8M0.10%
488
GSIEGoldman Sachs ActiveBeta International Equity ETF
1,247,434$37.7M0.10%
489
MANManpowergroup Inc
385,388$37.4M0.10%
490
CBRECBRE Group Inc
604,347$37.0M0.10%
491
TENBTenable Holdings Inc
1,554$37.0M0.10%
492
DFSEURDiscover Financial Services
435,296$36.9M0.10%
493
PYPLPayPal Holdings Inc
340,724$36.9M0.10%
494
NCLHNorwegian Cruise Line Holdings Ltd
628,075$36.7M0.10%
495
IPInternational Paper Co
795,779$36.6M0.10%
496
KRKroger Co/The
1,258,976$36.5M0.10%
497
BWABorgWarner Inc
838,910$36.4M0.10%
498
DISCKUSDDiscovery Communications Inc
1,187,950$36.2M0.10%
499
CTXSEURCitrix Systems Inc
322,616$35.8M0.09%
500
LMTLockheed Martin Corp
90,757$35.3M0.09%
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