Holdings Channel
Size ($ in 1000's)
At 12/31/2018: $6,876,929
At 09/30/2018: $7,808,760

Hexavest Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Hexavest Inc. 13F filings. Link to 13F filings: SEC filings

Hexavest Inc. Top Holdings
As of  12/31/2018

   EntityAmountChange
 09/30/2018 to 12/31/2018
Position Size
($ in 1000's)
VANECK VECTORS CO L 10,220,416 -1,802,695 $308,861
     GDXJ10,220,416-1,802,695$308,861
VANECK VECTORS CO L 14,087,411 +4,842,118 $297,103
     GDX14,087,411+4,842,118$297,103
VERIZON COMMUNICATIOCO L 4,680,373 -426,826 $263,131
     VZ4,680,373-426,826$263,131
PFIZER INC EL 4,992,435 -488,288 $217,920
     PFE4,992,435-488,288$217,920
JOHNSON & JOHNSON 1,493,780 -66,289 $192,772
     JNJ1,493,780-66,289$192,772
AT&T INC 6,157,557 -516,413 $175,737
     T6,157,557-516,413$175,737
MICROSOFT CORP 1,234,990 -113,203 $125,438
     MSFT1,234,990-113,203$125,438
APPLE INC UTIL 751,678 -75,576 $118,570
     AAPL751,678-75,576$118,570
JPMORGAN CHASE & CO 1,102,513 +392,853 $107,627
     JPM1,102,513+392,853$107,627
BANK OF AMERICA CORP 4,024,603 +406,517 $99,166
     BAC4,024,603+406,517$99,166
MEDTRONIC PLC CO L 1,081,069 -79,710 $98,334
     MDT1,081,069-79,710$98,334
COMCAST CORP PROP 2,825,827 +1,208,425 $96,219
     CMCSA2,825,827+1,208,425$96,219
CIGNA CORP PROP 506,320 +248,082 $96,160
     CI506,320+248,082$96,160
PEPSICO INC EL 817,930 +816,126 $90,365
     PEP817,930+816,126$90,365
ISHARES INC 60 (EWJ) 1,775,976 +1,767,349 $90,024
     EWJ1,775,976+1,767,349$90,024
EXELON CORP PROP 1,974,405 +293,895 $89,046
     EXC1,974,405+293,895$89,046
CVS HEALTH CORP PROP 1,276,254 +23,946 $83,620
     CVS1,276,254+23,946$83,620
ACCENTURE PLC CO L 585,416 +227,891 $82,550
     ACN585,416+227,891$82,550
MERCK & CO INC 1,080,005 -67,642 $82,523
     MRK1,080,005-67,642$82,523
WALGREENS BOOTS ALNCCO L 1,145,853 -139,197 $78,296
     WBA1,145,853-139,197$78,296
DOWDUPONT INC PROP 1,431,746 +1,431,746 $76,570
     DWDP1,431,746+1,431,746$76,570
ENTERGY CORP PROP 842,300 +88,340 $72,497
     ETR842,300+88,340$72,497
CISCO SYSTEMS INC PROP 1,666,481 -2,495,717 $72,209
     CSCO1,666,481-2,495,717$72,209
ALTRIA GROUP INC UTIL 1,446,689 +79,663 $71,452
     MO1,446,689+79,663$71,452
ISHARES L (EEM) 1,782,193 +1,653,997 $69,612
     EEM1,782,193+1,653,997$69,612
PUBLIC SVC ENTERPR CO 1,332,164 +476,609 $69,339
     PEG1,332,164+476,609$69,339
NEXTERA ENERGY INC 392,674 +392,674 $68,255
     NEE392,674+392,674$68,255
AES CORP 4,643,784 +2,128,132 $67,149
     AES4,643,784+2,128,132$67,149
AFLAC INC 1,463,674 +450,012 $66,685
     AFL1,463,674+450,012$66,685
ELI LILLY & CO 571,424 -54,203 $66,125
     LLY571,424-54,203$66,125
ALLSTATE CORP UTIL 794,734 -58,937 $65,669
     ALL794,734-58,937$65,669
SYSCO CORP CO L 1,031,746 +173,980 $64,649
     SYY1,031,746+173,980$64,649
TRAVELERS CO THE CO L 539,472 -34,953 $64,602
     TRV539,472-34,953$64,602
REALTY INCOME CORP CO 1,011,351 +463,924 $63,756
     O1,011,351+463,924$63,756
PROGRESSIVE CORP CO 1,029,930 +1,029,930 $62,136
     PGR1,029,930+1,029,930$62,136
TJX COMPANIES INC CO L 1,317,967 +611,412 $58,966
     TJX1,317,967+611,412$58,966
DTE ENERGY CO PROP 529,115 +300,578 $58,361
     DTE529,115+300,578$58,361
AMEREN CORPORATION UTIL 879,704 +53,826 $57,383
     AEE879,704+53,826$57,383
SPDR S&P 500 ETF TR (SPY) 228,408 +185,606 $57,084
     SPY228,408+185,606$57,084
PROCTER & GAMBLE CO 618,361 -195,684 $56,840
     PG618,361-195,684$56,840
DOLLAR GEN CORP PROP 505,778 +20,354 $54,664
     DG505,778+20,354$54,664
WASTE MANAGEMENT INCCO L 606,107 +606,107 $53,937
     WM606,107+606,107$53,937
ISHARES INC L (EZU) 1,504,207 +1,484,569 $52,737
     EZU1,504,207+1,484,569$52,737
UNIVERSAL HEALTH SVCCO L 441,465 -19,621 $51,457
     UHS441,465-19,621$51,457
BRISTOL MYERS SQUIBB 913,127 -891,813 $47,464
     BMY913,127-891,813$47,464
AMERN ELEC PWR INC UTIL 631,088 +628,049 $47,168
     AEP631,088+628,049$47,168
CONSOLDTD EDISON INCPROP 610,969 -20,685 $46,715
     ED610,969-20,685$46,715
INVESCO QQQ TR L 302,429 +302,429 $46,653
     QQQ302,429+302,429$46,653
COCA COLA CO PROP 933,604 +933,604 $44,206
     KO933,604+933,604$44,206
AMERICAN EXPRESS CO UTIL 461,848 -22,975 $44,023
     AXP461,848-22,975$44,023

See Full List: All Stocks Held By Hexavest Inc.
— Including:
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     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Hexavest Inc.

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