HoldingsChannel.com
Connor Clark & Lunn Investment Management Ltd. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Royal Bank of Canada 13,588,994 -451,110 $1,103,028
     RY13,588,994-451,110$1,103,028
Toronto Dominion Bank 14,714,097 -1,844,421 $858,508
     TD14,714,097-1,844,421$858,508
Canadian National Railway 6,542,621 -292,963 $587,848
     CNI6,542,621-292,963$587,848
Suncor Energy Inc. 14,255,070 -518,090 $449,939
     SU14,255,070-518,090$449,939
Bank of Nova Scotia 7,027,552 +741,969 $399,413
     BNS7,027,552+741,969$399,413
Canadian Pacific Railway Ltd. 1,668,995 -47,586 $371,137
     CP1,668,995-47,586$371,137
Enbridge Inc. 9,886,550 -2,970,887 $347,224
     ENB9,886,550-2,970,887$347,224
Manulife Financial Corp. 14,762,703 -321,819 $270,947
     MFC14,762,703-321,819$270,947
TC Energy Corp 5,072,167 -909,931 $262,803
     TRP5,072,167-909,931$262,803
BCE Inc. 5,303,501 +86,657 $256,683
     BCE5,303,501+86,657$256,683
Waste Connections Inc 2,706,801 -77,759 $248,825
     WCN2,706,801-77,759$248,825
Bank of Montreal 3,100,370 -996,962 $228,500
     BMO3,100,370-996,962$228,500
CAE Inc. 8,885,548 -165,353 $225,897
     CAE8,885,548-165,353$225,897
Sun Life Financial Inc. 4,672,341 -188,073 $209,055
     SLF4,672,341-188,073$209,055
CGI Inc 2,502,301 -408,027 $197,992
     GIB2,502,301-408,027$197,992
Brookfield Infrastructure Partners LP 3,933,213 +744,980 $194,878
     BIP3,933,213+744,980$194,878
Pembina Pipeline Corp. 5,071,815 +191,039 $188,124
     PBA5,071,815+191,039$188,124
Kirkland Lake Gold Ltd 3,997,514 -1,178,925 $179,194
     KL3,997,514-1,178,925$179,194
Shopify Inc Class A 570,866 -48,909 $177,770
     SHOP570,866-48,909$177,770
Restaurant Brands International 2,496,198 -139,657 $177,600
     QSR2,496,198-139,657$177,600
Microsoft Corp. 1,271,772 -5,100 $176,814
     MSFT1,271,772-5,100$176,814
Apple Inc. 697,114 -298,150 $156,133
     AAPL697,114-298,150$156,133
Brookfield Asset Management Inc. 2,915,179 -161,267 $154,896
     BAM2,915,179-161,267$154,896
Alphabet Inc Cl C 123,908 +14,150 $151,044
     GOOG123,908+14,150$151,044
Nutrien Ltd 2,981,203 +31,163 $148,610
     NTR2,981,203+31,163$148,610
Granite Real Estate Investment Trust REIT      $131,192
     GRP.U2,707,682+345,110$131,192
Bausch Health Cos Inc 5,891,310 -409,895 $128,594
     BHC5,891,310-409,895$128,594
Thomson Reuters Corporation 1,697,640 -183,779 $113,539
     TRI1,697,640-183,779$113,539
Algonquin Power & Utilities Co 8,277,004 +433,086 $113,402
     AQN8,277,004+433,086$113,402
Amazon.Com Inc 60,047 -1,625 $104,236
     AMZN60,047-1,625$104,236
Canadian Natural Resources Ltd. 3,902,926 -821,989 $103,911
     CNQ3,902,926-821,989$103,911
Franco Nevada Corp. 1,093,494 -254,236 $99,703
     FNV1,093,494-254,236$99,703
Descartes Systems Group 2,403,395 -66,071 $97,080
     DSGX2,403,395-66,071$97,080
Facebook Inc. 516,728 +238,725 $92,019
     FB516,728+238,725$92,019
Agnico Eagle Mines Ltd 1,619,752 -63,196 $86,860
     AEM1,619,752-63,196$86,860
Johnson & Johnson 652,859 +147,603 $84,467
     JNJ652,859+147,603$84,467
Barrick Gold Corp. 4,701,518 +136,822 $81,389
     GOLD4,701,518+136,822$81,389
Shaw Communications Inc. Class B 4,134,329 -42,829 $81,281
     SJR4,134,329-42,829$81,281
Canadian Imperial Bank of Commerce 957,682 -628,662 $79,067
     CM957,682-628,662$79,067
Brookfield Property Partners LP 3,628,963 -1,189,156 $73,703
     BPY3,628,963-1,189,156$73,703
JP Morgan Chase & Company 594,901 -44,672 $70,014
     JPM594,901-44,672$70,014
Cisco Systems 1,399,796 +950,975 $69,164
     CSCO1,399,796+950,975$69,164
Comcast Corp. Class A 1,500,460 +282,175 $67,641
     CMCSA1,500,460+282,175$67,641
Pfizer Inc. 1,841,183 +1,460,000 $66,154
     PFE1,841,183+1,460,000$66,154
Open Text Corp. 1,571,176 -1,005,868 $64,129
     OTEX1,571,176-1,005,868$64,129
Berkshire Hathaway Inc. Class B      $63,406
     BRK.B304,805-1,400$63,406
Telus Corp. 1,733,817 -1,234,638 $61,744
     TU1,733,817-1,234,638$61,744
Wheaton Precious Metals Corp 2,336,722 +124,956 $61,312
     WPM2,336,722+124,956$61,312
Bank of America Corp. 2,077,148 +858,750 $60,590
     BAC2,077,148+858,750$60,590
Accenture PLC 299,847 -11,025 $57,676
     ACN299,847-11,025$57,676

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 09/30/2019: $14,575,940
At 06/30/2019: $15,597,475

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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