HoldingsChannel.com
Connor Clark & Lunn Investment Management Ltd. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Royal Bank of Canada 14,040,104 +364,284 $1,118,159
     RY14,040,104+364,284$1,118,159
Toronto Dominion Bank 16,558,518 -506,171 $969,625
     TD16,558,518-506,171$969,625
Canadian National Railway 6,835,584 -497,627 $633,995
     CNI6,835,584-497,627$633,995
Enbridge Inc. 12,857,437 -515,008 $465,396
     ENB12,857,437-515,008$465,396
Suncor Energy Inc. 14,773,160 -1,005,890 $461,820
     SU14,773,160-1,005,890$461,820
Canadian Pacific Railway Ltd. 1,716,581 +85,171 $405,162
     CP1,716,581+85,171$405,162
Bank of Nova Scotia 6,285,583 -811,771 $338,342
     BNS6,285,583-811,771$338,342
Bank of Montreal 4,097,332 -447,681 $310,165
     BMO4,097,332-447,681$310,165
TC Energy Corp 5,982,098 -257,666 $297,194
     TRP5,982,098-257,666$297,194
Manulife Financial Corp. 15,084,522 +721,214 $274,736
     MFC15,084,522+721,214$274,736
Waste Connections Inc 2,784,560 +205,819 $266,576
     WCN2,784,560+205,819$266,576
CAE Inc. 9,050,901 +80,036 $243,874
     CAE9,050,901+80,036$243,874
BCE Inc. 5,216,844 +1,268,440 $237,857
     BCE5,216,844+1,268,440$237,857
CGI Inc 2,910,328 -355,490 $224,229
     GIB2,910,328-355,490$224,229
Kirkland Lake Gold Ltd 5,176,439 -11,395 $223,497
     KL5,176,439-11,395$223,497
Sun Life Financial Inc. 4,860,414 +575,638 $201,707
     SLF4,860,414+575,638$201,707
Apple Inc. 995,264 +267,550 $196,983
     AAPL995,264+267,550$196,983
Shopify Inc Class A 619,775 +29,283 $186,670
     SHOP619,775+29,283$186,670
Restaurant Brands International 2,635,855 +947,002 $183,698
     QSR2,635,855+947,002$183,698
Pembina Pipeline Corp. 4,880,776 +27,027 $182,084
     PBA4,880,776+27,027$182,084
Microsoft Corp. 1,276,872 -30,599 $171,050
     MSFT1,276,872-30,599$171,050
Bausch Health Cos Inc 6,301,205 -908,013 $159,320
     BHC6,301,205-908,013$159,320
Nutrien Ltd 2,950,040 -646,623 $158,141
     NTR2,950,040-646,623$158,141
Brookfield Asset Management Inc. 3,076,446 +100,040 $147,495
     BAM3,076,446+100,040$147,495
Brookfield Infrastructure Partners LP 3,188,233 -18,333 $136,947
     BIP3,188,233-18,333$136,947
Canadian Natural Resources Ltd. 4,724,915 -267,383 $127,673
     CNQ4,724,915-267,383$127,673
Canadian Imperial Bank of Commerce 1,586,344 -490,900 $125,014
     CM1,586,344-490,900$125,014
Thomson Reuters Corporation 1,881,419 +32,078 $121,632
     TRI1,881,419+32,078$121,632
Alphabet Inc Cl C 109,758 +38,225 $118,639
     GOOG109,758+38,225$118,639
Teck Resources Ltd. 5,076,748 -1,901,607 $117,405
     TECK5,076,748-1,901,607$117,405
Amazon.Com Inc 61,672 +1,675 $116,784
     AMZN61,672+1,675$116,784
Franco Nevada Corp. 1,347,730 -32,038 $114,636
     FNV1,347,730-32,038$114,636
Telus Corp. 2,968,455 +43,569 $109,970
     TU2,968,455+43,569$109,970
Granite Real Estate Investment Trust REIT      $109,003
     GRP.U2,362,572+71,719$109,003
Open Text Corp. 2,577,044 +77,490 $106,572
     OTEX2,577,044+77,490$106,572
Methanex Corp. 2,244,138 -430,656 $102,096
     MEOH2,244,138-430,656$102,096
Rogers Comm Inc. Class B 1,868,984 -486,450 $100,261
     RCI1,868,984-486,450$100,261
Algonquin Power & Utilities Co 7,843,918 -1,012,996 $95,262
     AQN7,843,918-1,012,996$95,262
Descartes Systems Group 2,469,466 -4,620 $91,560
     DSGX2,469,466-4,620$91,560
Brookfield Property Partners LP 4,818,119 +1,205,028 $91,219
     BPY4,818,119+1,205,028$91,219
Agnico Eagle Mines Ltd 1,682,948 +25,745 $86,469
     AEM1,682,948+25,745$86,469
Shaw Communications Inc. Class B 4,177,158 -816,372 $85,413
     SJR4,177,158-816,372$85,413
Enerplus Corp 9,710,261 -3,325,142 $73,194
     ERF9,710,261-3,325,142$73,194
Barrick Gold Corp. 4,564,696 +4,564,696 $72,204
     GOLD4,564,696+4,564,696$72,204
SAP SE ADR 524,118 +117,443 $71,699
     SAP524,118+117,443$71,699
JP Morgan Chase & Company 639,573 -84,625 $71,504
     JPM639,573-84,625$71,504
Johnson & Johnson 505,256 -98,255 $70,372
     JNJ505,256-98,255$70,372
Berkshire Hathaway Inc. Class B      $65,274
     BRK.B306,205-1,050$65,274
Walt Disney Co. 444,807 +187,130 $62,113
     DIS444,807+187,130$62,113
Verizon Communications 1,025,414 +147,050 $58,582
     VZ1,025,414+147,050$58,582

See Full List: All Stocks Held By Connor Clark & Lunn Investment Management Ltd.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Connor Clark & Lunn Investment Management Ltd.

Size ($ in 1000's)
At 06/30/2019: $15,597,475
At 03/31/2019: $15,169,275

Connor Clark & Lunn Investment Management Ltd. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Connor Clark & Lunn Investment Management Ltd. 13F filings. Link to 13F filings: SEC filings

Connor Clark & Lunn Investment Management Ltd. Top Holdings 13F Filings | www.HoldingsChannel.com

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