Connor, Clark & Lunn Investment Management (CC&L)
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Connor, Clark & Lunn Investment Management (CC&L)’s Toronto Dominion Bank TD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$721M Buy
9,796,385
+128,560
+1% +$9.46M 2.54% 4
2025
Q1
$579M Buy
9,667,825
+456,539
+5% +$27.4M 2.53% 4
2024
Q4
$490M Sell
9,211,286
-550,022
-6% -$29.2M 2.21% 4
2024
Q3
$617M Buy
9,761,308
+144,427
+2% +$9.13M 2.99% 3
2024
Q2
$529M Sell
9,616,881
-326,789
-3% -$18M 2.22% 4
2024
Q1
$600M Sell
9,943,670
-1,754,958
-15% -$106M 2.58% 2
2023
Q4
$756M Buy
11,698,628
+76,595
+0.7% +$4.95M 3.52% 2
2023
Q3
$700M Sell
11,622,033
-719,587
-6% -$43.4M 3.66% 2
2023
Q2
$765M Buy
12,341,620
+565,075
+5% +$35M 3.82% 2
2023
Q1
$705M Sell
11,776,545
-1,630,427
-12% -$97.7M 3.82% 2
2022
Q4
$868M Sell
13,406,972
-209,467
-2% -$13.6M 5% 1
2022
Q3
$834M Sell
13,616,439
-50,168
-0.4% -$3.07M 5.46% 1
2022
Q2
$896M Sell
13,666,607
-576,704
-4% -$37.8M 5.44% 1
2022
Q1
$1.13B Buy
14,243,311
+1,599,227
+13% +$127M 5.54% 1
2021
Q4
$970M Sell
12,644,084
-281,905
-2% -$21.6M 4.74% 2
2021
Q3
$855M Sell
12,925,989
-1,086,820
-8% -$71.9M 4.46% 2
2021
Q2
$982M Sell
14,012,809
-517,398
-4% -$36.3M 4.99% 2
2021
Q1
$948M Buy
14,530,207
+1,554,745
+12% +$101M 5.28% 2
2020
Q4
$733M Buy
12,975,462
+1,087,375
+9% +$61.4M 4.33% 3
2020
Q3
$550M Buy
11,888,087
+315,102
+3% +$14.6M 3.66% 4
2020
Q2
$517M Buy
11,572,985
+1,085,126
+10% +$48.4M 3.64% 4
2020
Q1
$446M Sell
10,487,859
-2,403,895
-19% -$102M 4% 3
2019
Q4
$724M Sell
12,891,754
-1,822,343
-12% -$102M 4.99% 2
2019
Q3
$859M Sell
14,714,097
-1,844,421
-11% -$108M 5.89% 2
2019
Q2
$970M Sell
16,558,518
-506,171
-3% -$29.6M 6.22% 2
2019
Q1
$926M Sell
17,064,689
-1,743,268
-9% -$94.6M 6.11% 2
2018
Q4
$934M Sell
18,807,957
-418,508
-2% -$20.8M 6.36% 2
2018
Q3
$1.17B Buy
19,226,465
+576,340
+3% +$35M 6.62% 1
2018
Q2
$1.08B Buy
18,650,125
+209,398
+1% +$12.1M 6.07% 1
2018
Q1
$1.05B Buy
18,440,727
+460,954
+3% +$26.1M 6.33% 2
2017
Q4
$1.06B Sell
17,979,773
-1,556,228
-8% -$91.5M 6.17% 2
2017
Q3
$1.1B Sell
19,536,001
-1,989,183
-9% -$112M 6.59% 2
2017
Q2
$1.08B Sell
21,525,184
-258,460
-1% -$13M 7.12% 2
2017
Q1
$1.09B Buy
21,783,644
+1,711,818
+9% +$85.5M 7.14% 2
2016
Q4
$991M Buy
20,071,826
+1,916,877
+11% +$94.7M 6.8% 2
2016
Q3
$805M Buy
18,154,949
+338,974
+2% +$15M 5.61% 2
2016
Q2
$761M Buy
17,815,975
+265,074
+2% +$11.3M 5.57% 2
2016
Q1
$761M Sell
17,550,901
-1,030,425
-6% -$44.7M 5.9% 2
2015
Q4
$726M Buy
18,581,326
+697,860
+4% +$27.2M 6.06% 2
2015
Q3
$702M Buy
17,883,466
+3,155,129
+21% +$124M 5.69% 2
2015
Q2
$626M Sell
14,728,337
-1,193,965
-7% -$50.7M 5.69% 3
2015
Q1
$682M Sell
15,922,302
-1,292,385
-8% -$55.3M 5.74% 2
2014
Q4
$825M Sell
17,214,687
-1,231,115
-7% -$59M 6.67% 2
2014
Q3
$912M Buy
18,445,802
+457,441
+3% +$22.6M 7.38% 2
2014
Q2
$988M Buy
17,988,361
+519,833
+3% +$28.6M 6.99% 2
2014
Q1
$905M Buy
17,468,528
+8,551,239
+96% +$443M 6.62% 2
2013
Q4
$893M Sell
8,917,289
-102,952
-1% -$10.3M 6.96% 2
2013
Q3
$837M Buy
9,020,241
+390,345
+5% +$36.2M 7.51% 2
2013
Q2
$729M Buy
+8,629,896
New +$729M 7.01% 2