CPCPP

Canada Post Corporation Pension Plan Portfolio holdings

AUM $2.63B
1-Year Est. Return 32.14%
This Fund
S&P 500
This Quarter Est. Return
1 Year Est. Return
+32.14%
3 Year Est. Return
5 Year Est. Return
10 Year Est. Return
AUM
$2.26B
AUM Growth
+$555M
Cap. Flow
Cap. Flow %
Top 10 Hldgs %
Holding
502
New
Increased
Reduced
Closed

Top Buys

1 +$47.8M
2 +$32.2M
3 +$29.1M
4
META icon
Meta Platforms (Facebook)
META
+$24.1M
5
JNJ icon
Johnson & Johnson
JNJ
+$22M

Top Sells

1 +$213M
2 +$12.8M
3 +$11M
4
EL icon
Estee Lauder
EL
+$2.82M
5
PEG icon
Public Service Enterprise Group
PEG
+$1.92M

Sector Composition

1 Technology 30.67%
2 Financials 15.12%
3 Healthcare 12.46%
4 Communication Services 9.9%
5 Consumer Discretionary 9.13%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
ROL icon
401
Rollins
ROL
$25.5B
$273K 0.01%
4,660
SNA icon
402
Snap-on
SNA
$18.8B
$269K 0.01%
782
CNC icon
403
Centene
CNC
$16.5B
$268K 0.01%
7,623
DECK icon
404
Deckers Outdoor
DECK
$13.3B
$260K 0.01%
2,520
MAS icon
405
Masco
MAS
$12.3B
$258K 0.01%
3,681
ZBH icon
406
Zimmer Biomet
ZBH
$17.4B
$258K 0.01%
2,623
-5,812
MHK icon
407
Mohawk Industries
MHK
$6.06B
$257K 0.01%
2,005
+1,000
INCY icon
408
Incyte
INCY
$18.4B
$257K 0.01%
3,059
+880
RL icon
409
Ralph Lauren
RL
$20.2B
$254K 0.01%
823
GIS icon
410
General Mills
GIS
$19.2B
$252K 0.01%
5,066
-3,000
CLX icon
411
Clorox
CLX
$12.4B
$251K 0.01%
2,040
TSN icon
412
Tyson Foods
TSN
$22.2B
$248K 0.01%
4,599
FTV icon
413
Fortive
FTV
$16.9B
$246K 0.01%
5,024
COO icon
414
Cooper Companies
COO
$14B
$244K 0.01%
3,584
IFF icon
415
International Flavors & Fragrances
IFF
$18.2B
$242K 0.01%
3,978
WST icon
416
West Pharmaceutical
WST
$17.9B
$241K 0.01%
925
ZBRA icon
417
Zebra Technologies
ZBRA
$10.1B
$238K 0.01%
800
EVRG icon
418
Evergy
EVRG
$18.5B
$233K 0.01%
3,105
HPQ icon
419
HP
HPQ
$17.7B
$232K 0.01%
8,627
-7,000
ESS icon
420
Essex Property Trust
ESS
$15.7B
$232K 0.01%
870
INVH icon
421
Invitation Homes
INVH
$15.1B
$227K 0.01%
7,800
AVY icon
422
Avery Dennison
AVY
$13B
$225K 0.01%
1,405
GL icon
423
Globe Life
GL
$10.9B
$224K 0.01%
1,560
+480
WAT icon
424
Waters Corp
WAT
$29.5B
$221K 0.01%
764
SSNC icon
425
SS&C Technologies
SSNC
$16.2B
$220K 0.01%
+2,493