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Size ($ in 1000's)
At 12/31/2023: $21,457,609 At 09/30/2023: $19,132,731
Connor Clark & Lunn Investment Management Ltd. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Connor Clark & Lunn Investment Management Ltd. 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, below is a summary of the Connor Clark & Lunn Investment Management Ltd. top holdings by largest position size, as per the latest 13f filing made by Connor Clark & Lunn Investment Management Ltd..
In the Connor Clark & Lunn Investment Management Ltd.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Connor Clark & Lunn Investment Management Ltd. in that top holding, then the share count change between reporting periods, and finally the Connor Clark & Lunn Investment Management Ltd. top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
ROYAL BK CDA |
8,550,436 |
+158,011 |
$864,730 | RY | 8,550,436 | +158,011 | $864,730 | TORONTO DOMINION BK ONT |
11,698,628 |
+76,595 |
$755,958 | TD | 11,698,628 | +76,595 | $755,958 | SHOPIFY INC |
7,956,442 |
-380,162 |
$619,466 | SHOP | 7,956,442 | -380,162 | $619,466 | APPLE INC |
3,073,722 |
+349,063 |
$591,784 | AAPL | 3,073,722 | +349,063 | $591,784 | MICROSOFT CORP |
1,210,423 |
-137,836 |
$455,167 | MSFT | 1,210,423 | -137,836 | $455,167 | BANK NOVA SCOTIA HALIFAX |
8,845,705 |
-473,983 |
$430,605 | BNS | 8,845,705 | -473,983 | $430,605 | CANADIAN NATL RY CO |
3,360,176 |
-762,832 |
$422,371 | CNI | 3,360,176 | -762,832 | $422,371 | ENBRIDGE INC |
11,184,348 |
-1,817,183 |
$402,640 | ENB | 11,184,348 | -1,817,183 | $402,640 | BANK MONTREAL QUE |
3,979,960 |
+527,935 |
$393,824 | BMO | 3,979,960 | +527,935 | $393,824 | CANADIAN NAT RES LTD |
5,736,563 |
-1,330,292 |
$375,845 | CNQ | 5,736,563 | -1,330,292 | $375,845 | CAMECO CORP |
8,328,253 |
+2,597,395 |
$359,092 | CCJ | 8,328,253 | +2,597,395 | $359,092 | THOMSON REUTERS CORP. |
2,259,063 |
-254,488 |
$330,303 | TRI | 2,259,063 | -254,488 | $330,303 | CANADIAN PACIFIC KANSAS CITY |
4,020,035 |
-391,692 |
$318,086 | CP | 4,020,035 | -391,692 | $318,086 | CANADIAN IMPERIAL BK COMM TO |
6,282,726 |
+2,726,094 |
$302,521 | CM | 6,282,726 | +2,726,094 | $302,521 | NVIDIA CORPORATION |
550,039 |
+33,234 |
$272,390 | NVDA | 550,039 | +33,234 | $272,390 | BROOKFIELD CORP |
6,664,697 |
+389,861 |
$267,344 | BN | 6,664,697 | +389,861 | $267,344 | AMAZON COM INC |
1,570,491 |
+699,204 |
$238,620 | AMZN | 1,570,491 | +699,204 | $238,620 | FORTIS INC |
5,310,462 |
-801,458 |
$218,472 | FTS | 5,310,462 | -801,458 | $218,472 | PEMBINA PIPELINE CORP |
6,154,884 |
+245,686 |
$211,915 | PBA | 6,154,884 | +245,686 | $211,915 | SUN LIFE FINANCIAL INC. |
3,670,046 |
+241,788 |
$190,345 | SLF | 3,670,046 | +241,788 | $190,345 | TC ENERGY CORP |
4,833,874 |
-1,257,851 |
$188,833 | TRP | 4,833,874 | -1,257,851 | $188,833 | META PLATFORMS INC |
521,317 |
-40,270 |
$184,525 | META | 521,317 | -40,270 | $184,525 | WHEATON PRECIOUS METALS CORP |
3,706,787 |
+142,073 |
$182,879 | WPM | 3,706,787 | +142,073 | $182,879 | BCE INC |
4,609,488 |
-357,901 |
$181,493 | BCE | 4,609,488 | -357,901 | $181,493 | CELESTICA INC |
6,135,452 |
+40,458 |
$179,712 | CLS | 6,135,452 | +40,458 | $179,712 | SUNCOR ENERGY INC NEW |
5,529,330 |
-554,143 |
$177,149 | SU | 5,529,330 | -554,143 | $177,149 | WASTE CONNECTIONS INC |
1,180,120 |
-471,380 |
$176,227 | WCN | 1,180,120 | -471,380 | $176,227 | ALPHABET INC |
1,188,380 |
+323,838 |
$167,478 | GOOG | 1,188,380 | +323,838 | $167,478 | AGNICO EAGLE MINES LTD |
3,043,882 |
+867,917 |
$166,898 | AEM | 3,043,882 | +867,917 | $166,898 | ALPHABET INC |
1,192,676 |
+60,282 |
$166,605 | GOOGL | 1,192,676 | +60,282 | $166,605 | STANTEC INC |
1,978,484 |
+274,161 |
$158,847 | STN | 1,978,484 | +274,161 | $158,847 | ROGERS COMMUNICATIONS INC |
3,334,970 |
+1,555,101 |
$156,128 | RCI | 3,334,970 | +1,555,101 | $156,128 | BERKSHIRE HATHAWAY INC DEL |
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$151,589 | BRK.B | 397,639 | +61,712 | $141,822 | BRK.A | 18 | UNCH | $9,767 | ADVANCED MICRO DEVICES INC |
1,000,547 |
-233,113 |
$147,491 | AMD | 1,000,547 | -233,113 | $147,491 | INTEL CORP |
2,898,059 |
-787,694 |
$145,627 | INTC | 2,898,059 | -787,694 | $145,627 | IMPERIAL OIL LTD |
2,550,451 |
-186,840 |
$145,290 | IMO | 2,550,451 | -186,840 | $145,290 | DESCARTES SYS GROUP INC |
1,721,851 |
+177,551 |
$144,676 | DSGX | 1,721,851 | +177,551 | $144,676 | MERCK & CO INC |
1,286,224 |
+675,787 |
$140,224 | MRK | 1,286,224 | +675,787 | $140,224 | TELUS CORPORATION |
6,996,264 |
+566,826 |
$124,508 | TU | 6,996,264 | +566,826 | $124,508 | FRANCO NEV CORP |
1,074,181 |
-500,749 |
$118,988 | FNV | 1,074,181 | -500,749 | $118,988 | ATS CORPORATION |
2,718,855 |
+391,871 |
$117,189 | ATS | 2,718,855 | +391,871 | $117,189 | DISNEY WALT CO |
1,231,564 |
-255,874 |
$111,198 | DIS | 1,231,564 | -255,874 | $111,198 | WEST FRASER TIMBER CO LTD |
1,276,613 |
+279,454 |
$109,221 | WFG | 1,276,613 | +279,454 | $109,221 | NUTRIEN LTD |
1,883,824 |
-546,329 |
$106,135 | NTR | 1,883,824 | -546,329 | $106,135 | BARRICK GOLD CORP |
5,627,035 |
+1,118,992 |
$101,670 | GOLD | 5,627,035 | +1,118,992 | $101,670 | BLOCK INC |
1,313,768 |
+143,409 |
$101,620 | SQ | 1,313,768 | +143,409 | $101,620 | CENOVUS ENERGY INC |
5,995,920 |
-1,394,367 |
$99,918 | CVE | 5,995,920 | -1,394,367 | $99,918 | FORTINET INC |
1,706,651 |
+1,240,056 |
$99,890 | FTNT | 1,706,651 | +1,240,056 | $99,890 | PROCTER AND GAMBLE CO |
681,366 |
-100,984 |
$99,847 | PG | 681,366 | -100,984 | $99,847 | UNITED PARCEL SERVICE INC |
615,007 |
+142,988 |
$96,698 | UPS | 615,007 | +142,988 | $96,698 |
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.
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