ROYAL BANK OF CANADA Q4 2017 Filing

Filed February 14, 2018

Portfolio Value

$227.7M

Holdings

6,207

Report Date

Q4 2017

Filing Type

13F-HR

All Holdings (6,207 positions)

StockValue
INTERXION HOLDING N.V
$12.9M
FPFFIRST TR INTER DUR PFD & IN
$12.9M
JNPJUNIPER NETWORKS INC
$12.9M
RRYDER SYS INC
$12.9M
ASMLASML HOLDING N V
$12.9M
TMTOYOTA MOTOR CORP
$12.9M
TDYTELEDYNE TECHNOLOGIES INC
$12.8M
SELECT INCOME REIT
$12.8M
PRGOPERRIGO CO PLC
$12.8M
LXPUSDLEXINGTON REALTY TRUST
$12.8M
DEMWISDOMTREE TR
$12.8M
IRMIRON MTN INC NEW
$12.7M
NUVASIVE INC
$12.7M
BMSBEMIS INC
$12.7M
CBOECBOE GLOBAL MARKETS INC
$12.6M
RAREULTRAGENYX PHARMACEUTICAL IN
$12.6M
ORANYORANGE
$12.6M
FFFUTUREFUEL CORPORATION
$12.5M
POWERSHARES ETF TRUST
$12.5M
IEURISHARES TR
$12.5M
FDSFACTSET RESH SYS INC
$12.5M
SAVESPIRIT AIRLS INC
$12.4M
AAALCOA CORP
$12.4M
PKWUSDPOWERSHARES ETF TRUST
$12.4M
ZAYOEURZAYO GROUP HLDGS INC
$12.4M
LFUSLITTELFUSE INC
$12.4M
W3UWESTERN UN CO
$12.4M
SDOGALPS ETF TR
$12.3M
XGDVXGABELLI DIVD & INCOME TR
$12.3M
SEESEALED AIR CORP NEW
$12.3M
NZFNUVEEN MUNICIPAL CREDIT INC
$12.2M
SHPGSHIRE PLC
$12.2M
BTZBLACKROCK CR ALLCTN INC TR
$12.2M
CALPINE CORP
$12.2M
IUSGISHARES TR
$12.2M
FICOFAIR ISAAC CORP
$12.1M
SNNSMITH & NEPHEW PLC
$12.1M
UTFCOHEN & STEERS INFRASTRUCTUR
$12.1M
MBTGBPMOBILE TELESYSTEMS PJSC
$12.1M
PTLCPACER FDS TR
$12.1M
OGM1COGENT COMMUNICATIONS HLDGS
$12.1M
CITUSDCIT GROUP INC
$12.0M
IUSVISHARES TR
$12.0M
IATISHARES TR
$12.0M
SNAPSNAP INC
$12.0M
FNXFIRST TR MID CAP CORE ALPHAD
$12.0M
BRBROADRIDGE FINL SOLUTIONS IN
$12.0M
EXREXTRA SPACE STORAGE INC
$11.9M
AMBAAMBARELLA INC
$11.9M
CVGWCALAVO GROWERS INC
$11.9M
GRUBGRUBHUB INC
$11.9M
SYNCHRONOSS TECHNOLOGIES INC
$11.9M
PXFPOWERSHARES ETF TR II
$11.9M
SGENEURSEATTLE GENETICS INC
$11.8M
VONGVANGUARD SCOTTSDALE FDS
$11.8M
EDGGOLD FIELDS LTD NEW
$11.8M
BLVVANGUARD BD INDEX FD INC
$11.8M
SAMBOSTON BEER INC
$11.8M
SLQDISHARES TR
$11.7M
INTEGRATED DEVICE TECHNOLOGY
$11.7M
BIOVERATIV INC
$11.7M
AMERICAN OUTDOOR BRANDS CORP
$11.7M
ZIONZIONS BANCORPORATION
$11.7M
UAAUNDER ARMOUR INC
$11.6M
GDXJVANECK VECTORS ETF TR
$11.6M
QIAGEN NV
$11.6M
STLAFIAT CHRYSLER AUTOMOBILES N
$11.6M
DLNWISDOMTREE TR
$11.6M
TDIVFIRST TR EXCHANGE TRADED FD
$11.6M
DXLGDESTINATION XL GROUP INC
$11.6M
FHIFEDERATED INVS INC PA
$11.6M
MOSMOSAIC CO NEW
$11.6M
NAVINAVIENT CORPORATION
$11.5M
TWENTY FIRST CENTY FOX INC
$11.5M
HISFFIRST TR EXCHANGE TRADED FD
$11.4M
RYDEX ETF TRUST
$11.4M
POWERSHARES ETF TRUST II
$11.4M
STPZPIMCO ETF TR
$11.4M
QQEWFIRST TR NAS100 EQ WEIGHTED
$11.4M
FXOFIRST TR EXCHANGE TRADED FD
$11.3M
NINISOURCE INC
$11.3M
HDGEGBPADVISORSHARES TR
$11.3M
FAFFIRST AMERN FINL CORP
$11.3M
MPTMEDICAL PPTYS TRUST INC
$11.2M
NOKNOKIA CORP
$11.2M
HWCHANCOCK HLDG CO
$11.2M
COR1EURCORESITE RLTY CORP
$11.2M
CEMEX SAB DE CV
$11.2M
IGEISHARES TR
$11.2M
NFGNATIONAL FUEL GAS CO N J
$11.2M
CWHCAMPING WORLD HLDGS INC
$11.2M
OPPENHEIMER ETF TR
$11.2M
VDEVANGUARD WORLD FDS
$11.1M
LBRDKLIBERTY BROADBAND CORP
$11.0M
RHPRYMAN HOSPITALITY PPTYS INC
$11.0M
OCOWENS CORNING NEW
$11.0M
CLBCORE LABORATORIES N V
$11.0M
FRFIRST INDUSTRIAL REALTY TRUS
$11.0M
FXHFIRST TR EXCHANGE TRADED FD
$11.0M
SLMSLM CORP
$11.0M
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