Connor, Clark & Lunn Investment Management (CC&L)

Connor, Clark & Lunn Investment Management (CC&L) Portfolio holdings

AUM $38.1B
1-Year Est. Return 46.65%
This Fund
S&P 500
This Quarter Est. Return
1 Year Est. Return
+46.65%
3 Year Est. Return
5 Year Est. Return
10 Year Est. Return
AUM
$22.1B
AUM Growth
+$1.49B
Cap. Flow
Cap. Flow %
Top 10 Hldgs %
Holding
1,688
New
Increased
Reduced
Closed

Top Buys

1 +$260M
2 +$160M
3 +$114M
4
BAM icon
Brookfield Asset Management
BAM
+$110M
5
CNQ icon
Canadian Natural Resources
CNQ
+$109M

Top Sells

1 +$145M
2 +$108M
3 +$79.9M
4
RCI icon
Rogers Communications
RCI
+$75.8M
5
INDA icon
iShares MSCI India ETF
INDA
+$71.3M

Sector Composition

1 Financials 25.77%
2 Technology 20.79%
3 Energy 11.79%
4 Industrials 11.45%
5 Materials 7.8%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
1401
-70,037
1402
-12,409
1403
-14,801
1404
-11,020
1405
-57,253
1406
-3,917
1407
-15,316
1408
-15,198
1409
-213,575
1410
-66,394
1411
-1,823
1412
-71,913
1413
-2,221
1414
-14,174
1415
-29,265
1416
-151,445
1417
-35,610
1418
-12,445
1419
-7,978
1420
-39,507
1421
-6,454
1422
-415,656
1423
-17,491
1424
-222,779
1425
-43,844