Holdings Channel
Size ($ in 1000's)
At 06/30/2019: $7,569,453
At 03/31/2019: $7,889,410

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  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
VANECK VECTORS CKR 15,488,092 +267,649 $395,876
     GDX15,488,092+267,649$395,876
JOHNSON & JOHNSON 1,420,873 -177,491 $197,899
     JNJ1,420,873-177,491$197,899
VERIZON COMMUNICATIOCKR 3,040,919 -323,427 $173,728
     VZ3,040,919-323,427$173,728
JPMORGAN CHASE & CO 1,421,775 -159,020 $158,954
     JPM1,421,775-159,020$158,954
MICROSOFT CORP 1,185,533 -133,378 $158,814
     MSFT1,185,533-133,378$158,814
APPLE INC MT 712,319 -79,152 $140,982
     AAPL712,319-79,152$140,982
PROCTER & GAMBLE CO 1,208,418 +127,177 $132,503
     PG1,208,418+127,177$132,503
EXXON MOBIL CORP INC 1,712,270 -224,364 $131,211
     XOM1,712,270-224,364$131,211
CHEVRON CORP CE 1,051,530 +68,555 $130,852
     CVX1,051,530+68,555$130,852
COMCAST CORP INC 3,079,842 -298,218 $130,216
     CMCSA3,079,842-298,218$130,216
WALT DISNEY CO INC 911,399 +129,641 $127,268
     DIS911,399+129,641$127,268
PFIZER INC TIVE 2,796,832 -356,922 $121,159
     PFE2,796,832-356,922$121,159
MASTERCARD INC COS 448,394 +152,420 $118,614
     MA448,394+152,420$118,614
BANK OF AMERICA CORPMT 4,058,604 -520,686 $117,700
     BAC4,058,604-520,686$117,700
ACCENTURE PLC CKR 581,007 -55,363 $107,353
     ACN581,007-55,363$107,353
VANECK VECTORS CKR 2,951,779 -3,063,940 $103,194
     GDXJ2,951,779-3,063,940$103,194
MEDTRONIC PLC CKR 1,034,150 -113,544 $100,716
     MDT1,034,150-113,544$100,716
NEWMONT GOLD CORP TECH 2,611,688 +351,088 $100,470
     NEM2,611,688+351,088$100,470
CISCO SYSTEMS INC INC 1,632,424 -144,344 $89,343
     CSCO1,632,424-144,344$89,343
MERCK & CO INC 1,053,983 -92,482 $88,376
     MRK1,053,983-92,482$88,376
CITIGROUP INC INC 1,181,113 +496,723 $82,713
     C1,181,113+496,723$82,713
PROGRESSIVE CORP CO 997,538 -109,604 $79,733
     PGR997,538-109,604$79,733
AFLAC INC 1,437,510 -121,429 $78,790
     AFL1,437,510-121,429$78,790
CIGNA CORP MT 490,935 -46,581 $77,347
     CI490,935-46,581$77,347
ISHARES RAGR (EEM) 1,736,770 +897,247 $74,525
     EEM1,736,770+897,247$74,525
INTEL CORP AB 1,549,869 -100,210 $74,192
     INTC1,549,869-100,210$74,192
ABBOTT LABS 840,647 -13,776 $70,698
     ABT840,647-13,776$70,698
SYSCO CORP CKR 981,832 -99,185 $69,435
     SYY981,832-99,185$69,435
TRACTOR SUPPLY CO CKR 630,540 -71,080 $68,603
     TSCO630,540-71,080$68,603
CVS HEALTH CORP MT 1,256,895 -106,027 $68,488
     CVS1,256,895-106,027$68,488
AES CORP 4,023,615 -580,362 $67,436
     AES4,023,615-580,362$67,436
ULTA BEAUTY INC CKR 194,201 -22,827 $67,366
     ULTA194,201-22,827$67,366
WASTE MANAGEMENT INCCKR 581,337 -79,903 $67,069
     WM581,337-79,903$67,069
DOLLAR GEN CORP INC 471,041 -60,722 $63,666
     DG471,041-60,722$63,666
TECK RESOURCES CKR 2,675,186 -198,516 $61,710
     TECK2,675,186-198,516$61,710
CDN NATURAL RES CE 2,225,857 +1,971,455 $60,145
     CNQ2,225,857+1,971,455$60,145
UNIVERSAL HEALTH SVCCKR 448,089 -21,668 $58,426
     UHS448,089-21,668$58,426
AMERICAN EXPRESS CO UTIL 465,896 -31,641 $57,510
     AXP465,896-31,641$57,510
AUTOZONE INC MT 52,253 -5,894 $57,451
     AZO52,253-5,894$57,451
MONDELEZ INTL INC 1,035,882 -84,559 $55,834
     MDLZ1,035,882-84,559$55,834
EXELON CORP INC 1,135,214 -826,059 $54,422
     EXC1,135,214-826,059$54,422
O&apos REILLY AUTOMOTIVE 144,676 -12,058 $53,432
     ORLY144,676-12,058$53,432
US BANCORP DEL CKR 1,017,972 +1,017,972 $53,342
     USB1,017,972+1,017,972$53,342
PNC FINL SVCS GRP TIVE 387,874 +387,874 $53,247
     PNC387,874+387,874$53,247
EOG RESOURCES INC INC 569,761 +204,774 $53,079
     EOG569,761+204,774$53,079
FREEPORT MCMORAN INCINC 4,546,400 -493,500 $52,784
     FCX4,546,400-493,500$52,784
TYSON FOODS INC CKR 639,820 -38,132 $51,659
     TSN639,820-38,132$51,659
SUNCOR ENERGY INC CKR 1,552,446 +145,413 $48,531
     SU1,552,446+145,413$48,531
STARBUCKS CORP CKR 574,374 -30,813 $48,150
     SBUX574,374-30,813$48,150
WALMART INC CKR 432,170 -25,416 $47,750
     WMT432,170-25,416$47,750

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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