CAISSE DE DEPOT ET PLACEMENT DU QUEBEC Q2 2020 Filing

Filed August 14, 2020

Portfolio Value

$34.1B

Holdings

685

Report Date

Q2 2020

Filing Type

13F-HR

All Holdings (685 positions)

StockValue
TMETencent Music Entertainment Group
$1.9M
DREUSDDuke Realty Corp
$1.9M
PKGPackaging Corp of America
$1.9M
HWMHowmet Aerospace Inc
$1.8M
DUKDuke Energy Corp
$1.8M
MHKMohawk Industries Inc
$1.8M
IFFInternational Flavors & Fragrances Inc
$1.8M
NTRSNorthern Trust Corp
$1.8M
LKQ1LKQ Corp
$1.8M
AGNCAGNC Investment Corp
$1.8M
PNRPentair PLC
$1.8M
FANGDiamondback Energy Inc
$1.8M
CTXSEURCitrix Systems Inc
$1.8M
COTYCoty Inc
$1.7M
JOYYJOYY Inc
$1.7M
IQiQIYI Inc
$1.7M
CNPCenterPoint Energy Inc
$1.7M
UGIUGI Corp
$1.7M
BAPCredicorp Ltd
$1.7M
ZBRAZebra Technologies Corp
$1.7M
GOTUGSX Techedu Inc
$1.7M
AMCRAmcor PLC
$1.6M
HDSUSDHD Supply Holdings Inc
$1.6M
KNXKnight-Swift Transportation Holdings Inc
$1.6M
HDBHDFC Bank Ltd
$1.6M
TIFEURTiffany & Co
$1.6M
HTHTHuazhu Group Ltd
$1.6M
VRSKVerisk Analytics Inc
$1.6M
HLTHilton Worldwide Holdings Inc
$1.6M
ICLICL Group Ltd
$1.6M
CDNSCadence Design Systems Inc
$1.6M
AVYAvery Dennison Corp
$1.6M
FLT1EURFleetCor Technologies Inc
$1.6M
ATHSAthene Holding Ltd
$1.6M
ALVAutoliv Inc
$1.6M
AREAlexandria Real Estate Equities Inc
$1.6M
HIIHuntington Ingalls Industries Inc
$1.6M
UHSUniversal Health Services Inc
$1.6M
SCHWCharles Schwab Corp, The
$1.5M
LBTYBLiberty Global PLC
$1.5M
ATHMAutohome Inc
$1.5M
GWWWW Grainger Inc
$1.5M
JBHTJB Hunt Transport Services Inc
$1.5M
BALLBall Corp
$1.5M
IVZInvesco Ltd
$1.5M
IPGInterpublic Group of Cos Inc, The
$1.5M
BILIBilibili Inc
$1.5M
PHMPulteGroup Inc
$1.5M
REGRegency Centers Corp
$1.5M
CAGConagra Brands Inc
$1.5M
STESTERIS PLC
$1.5M
FMCFMC Corp
$1.5M
UDRUDR Inc
$1.5M
XYLXylem Inc/NY
$1.4M
EXRExtra Space Storage Inc
$1.4M
ZLABZai Lab Ltd
$1.4M
FFIVF5 Networks Inc
$1.4M
IACIEURIAC Interactive Corp
$1.4M
JAZZJazz Pharmaceuticals PLC
$1.4M
BUWABio-Rad Laboratories Inc
$1.4M
WABWestinghouse Air Brake Technologies Corp
$1.4M
CPTCamden Property Trust
$1.4M
STSensata Technologies Holding PLC
$1.4M
TXTTextron Inc
$1.4M
DISCAUSDDiscovery Inc
$1.3M
RHIRobert Half International Inc
$1.3M
OPTUAltice USA Inc
$1.3M
AEEAmeren Corp
$1.3M
ARMKAramark
$1.3M
EEMiShares MSCI Emerging Markets ETF
$1.3M
HSICHenry Schein Inc
$1.3M
EMNEastman Chemical Co
$1.3M
REEverest Re Group Ltd
$1.3M
VICIVICI Properties Inc
$1.3M
TFXTeleflex Inc
$1.3M
NINiSource Inc
$1.3M
MTBM&T Bank Corp
$1.2M
CINFCincinnati Financial Corp
$1.2M
KEYKeyCorp
$1.2M
ACGLArch Capital Group Ltd
$1.2M
MCOMoody's Corp
$1.2M
BAHBooz Allen Hamilton Holding Corp
$1.2M
MOHMolina Healthcare Inc
$1.2M
CTRACabot Oil & Gas Corp
$1.2M
FNFFidelity National Financial Inc
$1.2M
RLRalph Lauren Corp
$1.2M
WRBWR Berkley Corp
$1.2M
IEXIDEX Corp
$1.2M
VOYAVoya Financial Inc
$1.2M
IRMIron Mountain Inc
$1.2M
KMXCarMax Inc
$1.2M
NOVEURNational Oilwell Varco Inc
$1.2M
HASHasbro Inc
$1.2M
BTOB2Gold Corp
$1.2M
ROKRockwell Automation Inc
$1.2M
COOCooper Cos Inc/The
$1.2M
ANETEURArista Networks Inc
$1.2M
AOSAO Smith Corp
$1.1M
AMATApplied Materials Inc
$1.1M
YUSDAlleghany Corp
$1.1M
PreviousPage 5 of 7Next