Holdings Channel
Size ($ in 1000's)
At 03/31/2019: $7,889,410
At 12/31/2018: $6,876,929

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  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
VANECK VECTORS CO L 15,220,443 +1,133,032 $341,242
     GDX15,220,443+1,133,032$341,242
JOHNSON & JOHNSON 1,598,364 +104,584 $223,435
     JNJ1,598,364+104,584$223,435
VERIZON COMMUNICATIOCO L 3,364,346 -1,316,027 $198,934
     VZ3,364,346-1,316,027$198,934
VANECK VECTORS CO L 6,015,719 -4,204,697 $190,879
     GDXJ6,015,719-4,204,697$190,879
JPMORGAN CHASE & CO 1,580,795 +478,282 $160,024
     JPM1,580,795+478,282$160,024
EXXON MOBIL CORP CE 1,936,634 +1,936,634 $156,480
     XOM1,936,634+1,936,634$156,480
MICROSOFT CORP 1,318,911 +83,921 $155,552
     MSFT1,318,911+83,921$155,552
APPLE INC UTIL 791,471 +39,793 $150,340
     AAPL791,471+39,793$150,340
COMCAST CORP CE 3,378,060 +552,233 $135,055
     CMCSA3,378,060+552,233$135,055
PFIZER INC TIVE 3,153,754 -1,838,681 $133,940
     PFE3,153,754-1,838,681$133,940
BANK OF AMERICA CORPUTIL 4,579,290 +554,687 $126,343
     BAC4,579,290+554,687$126,343
CHEVRON CORP CE 982,975 +982,975 $121,083
     CVX982,975+982,975$121,083
PROCTER & GAMBLE CO 1,081,241 +462,880 $112,503
     PG1,081,241+462,880$112,503
ACCENTURE PLC CO L 636,370 +50,954 $112,014
     ACN636,370+50,954$112,014
MEDTRONIC PLC CO L 1,147,694 +66,625 $104,532
     MDT1,147,694+66,625$104,532
EXELON CORP CE 1,961,273 -13,132 $98,319
     EXC1,961,273-13,132$98,319
CISCO SYSTEMS INC CE 1,776,768 +110,287 $95,928
     CSCO1,776,768+110,287$95,928
MERCK & CO INC 1,146,465 +66,460 $95,351
     MRK1,146,465+66,460$95,351
ALTRIA GROUP INC UTIL 1,557,192 +110,503 $89,430
     MO1,557,192+110,503$89,430
INTEL CORP AB 1,650,079 +1,650,079 $88,609
     INTC1,650,079+1,650,079$88,609
WALT DISNEY CO CE 781,758 +419,237 $86,799
     DIS781,758+419,237$86,799
CIGNA CORP UTIL 537,516 +31,196 $86,443
     CI537,516+31,196$86,443
AES CORP 4,603,977 -39,807 $83,240
     AES4,603,977-39,807$83,240
NEWMONT MINING CORP 2,260,600 +1,416,376 $80,862
     NEM2,260,600+1,416,376$80,862
DOWDUPONT INC CE 1,512,307 +80,561 $80,621
     DWDP1,512,307+80,561$80,621
PROGRESSIVE CORP CO 1,107,142 +77,212 $79,814
     PGR1,107,142+77,212$79,814
ENTERGY CORP CE 822,001 -20,299 $78,608
     ETR822,001-20,299$78,608
AFLAC INC 1,558,939 +95,265 $77,947
     AFL1,558,939+95,265$77,947
REALTY INCOME CORP CO 1,053,451 +42,100 $77,492
     O1,053,451+42,100$77,492
ULTA BEAUTY INC CO L 217,028 +217,028 $75,684
     ULTA217,028+217,028$75,684
ISHARES INC AB (EWJ) 1,350,530 -425,446 $73,901
     EWJ1,350,530-425,446$73,901
CVS HEALTH CORP UTIL 1,362,922 +86,668 $73,502
     CVS1,362,922+86,668$73,502
SYSCO CORP CO L 1,081,017 +49,271 $72,169
     SYY1,081,017+49,271$72,169
DTE ENERGY CO CE 564,093 +34,978 $70,365
     DTE564,093+34,978$70,365
AMEREN CORPORATION UTIL 950,689 +70,985 $69,923
     AEE950,689+70,985$69,923
MASTERCARD INC 295,974 +295,717 $69,687
     MA295,974+295,717$69,687
WASTE MANAGEMENT INCCO L 661,240 +55,133 $68,709
     WM661,240+55,133$68,709
TRACTOR SUPPLY CO CO L 701,620 +701,620 $68,590
     TSCO701,620+701,620$68,590
ABBOTT LABS 854,423 +854,423 $68,303
     ABT854,423+854,423$68,303
TECK RESOURCES CO L 2,873,702 +2,873,702 $66,603
     TECK2,873,702+2,873,702$66,603
FREEPORT MCMORAN INCCE 5,039,900 +5,039,900 $64,964
     FCX5,039,900+5,039,900$64,964
DOLLAR GEN CORP CE 531,763 +25,985 $63,439
     DG531,763+25,985$63,439
UNIVERSAL HEALTH SVCCO L 469,757 +28,292 $62,839
     UHS469,757+28,292$62,839
O&apos REILLY AUTOMOTIVE 156,734 +156,734 $60,860
     ORLY156,734+156,734$60,860
AUTOZONE INC UTIL 58,147 +58,147 $59,550
     AZO58,147+58,147$59,550
AMERN ELEC PWR INC UTIL 688,551 +57,463 $57,666
     AEP688,551+57,463$57,666
PHILIP MORRIS INTL TIVE 651,841 +54,395 $57,616
     PM651,841+54,395$57,616
MONDELEZ INTL INC 1,120,441 +78,821 $55,932
     MDLZ1,120,441+78,821$55,932
AMERICAN EXPRESS CO UTIL 497,537 +35,689 $54,381
     AXP497,537+35,689$54,381
NEXTERA ENERGY INC 261,660 -131,014 $50,584
     NEE261,660-131,014$50,584

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

See Details: Top 10 Stocks Held By Hexavest Inc.

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