CAISSE DE DEPOT ET PLACEMENT DU QUEBEC Q4 2018 Filing

Filed February 14, 2019

Portfolio Value

$36.6M

Holdings

733

Report Date

Q4 2018

Filing Type

13F-HR

All Holdings (733 positions)

StockValue
LEALear Corp
$2.9M
AGIAlamos Gold Inc
$2.9M
EVRGEvergy Inc
$2.9M
GRMNGarmin Ltd
$2.9M
PCARPACCAR Inc
$2.8M
NVDANVIDIA Corp
$2.8M
WELLWelltower Inc
$2.8M
BF/BBrown-Forman Corp
$2.8M
NWSANews Corp
$2.8M
CHKPCheck Point Software Technologies Ltd
$2.8M
DRIDarden Restaurants Inc
$2.8M
FASTFastenal Co
$2.8M
DHIDR Horton Inc
$2.8M
ATVIEURActivision Blizzard Inc
$2.8M
TQJSignature Bank/New York NY
$2.7M
JECUSDJacobs Engineering Group Inc
$2.7M
JOBSUSD51job Inc
$2.7M
CDKCDK Global Inc
$2.7M
FITBFifth Third Bancorp
$2.7M
XELXcel Energy Inc
$2.6M
AIGAmerican International Group Inc
$2.6M
EAElectronic Arts Inc
$2.6M
LDOSLeidos Holdings Inc
$2.6M
MGM Growth Properties LLC
$2.6M
SCHWCharles Schwab Corp, The
$2.6M
PNRPentair PLC
$2.6M
CFCF Industries Holdings Inc
$2.6M
BLBlackline Inc
$2.6M
HTHTHuazhu Group Ltd
$2.5M
PSAPublic Storage
$2.5M
PRUPrudential Financial Inc
$2.5M
PHMPulteGroup Inc
$2.5M
HRSEURHarris Corp
$2.5M
ALLYAlly Financial Inc
$2.5M
LNTAlliant Energy Corp
$2.5M
ORealty Income Corp
$2.5M
PG4Principal Financial Group Inc
$2.5M
MLCOMelco Resorts & Entertainment Ltd
$2.5M
BHFBrighthouse Financial Inc
$2.5M
CHDChurch & Dwight Co Inc
$2.5M
CTXSEURCitrix Systems Inc
$2.5M
FTVFortive Corp
$2.5M
RMEResMed Inc
$2.4M
NBISYandex NV
$2.4M
ILMNIllumina Inc
$2.4M
CHEChemed Corp
$2.4M
WTWWillis Towers Watson PLC
$2.4M
WCNWaste Connections Inc
$2.4M
GWWWW Grainger Inc
$2.4M
GDSGDS Holdings Ltd
$2.4M
CECelanese Corp
$2.3M
BALLBall Corp
$2.3M
DISCAUSDDiscovery Inc
$2.3M
SNPSSynopsys Inc
$2.3M
MHKMohawk Industries Inc
$2.3M
CFGCitizens Financial Group Inc
$2.3M
APHAmphenol Corp
$2.3M
GISGeneral Mills Inc
$2.3M
IPGInterpublic Group of Cos Inc, The
$2.3M
ETREntergy Corp
$2.2M
ATOAtmos Energy Corp
$2.2M
RLRalph Lauren Corp
$2.2M
HDSUSDHD Supply Holdings Inc
$2.2M
NOAHNoah Holdings Ltd
$2.2M
MANManpowerGroup Inc
$2.1M
HCMHutchison China MediTech Ltd
$2.1M
OGSONE Gas Inc
$2.1M
CITCintas Corp
$2.1M
BWABorgWarner Inc
$2.0M
VAREURVarian Medical Systems Inc
$2.0M
NCLHNorwegian Cruise Line Holdings Ltd
$2.0M
CDWCDW Corp
$2.0M
MARMarriott International Inc/MD
$2.0M
COTYCoty Inc
$2.0M
IDXXIDEXX Laboratories Inc
$2.0M
IHS Markit Ltd
$2.0M
ISRGIntuitive Surgical Inc
$1.9M
ARMKAramark
$1.9M
HRLHormel Foods Corp
$1.9M
XLEEnergy Select Sector SPDR Fund
$1.9M
ALVAutoliv Inc
$1.9M
IQVIQVIA Holdings Inc
$1.9M
Vectren Corp
$1.9M
TSLATesla Inc
$1.9M
JWNUSDNordstrom Inc
$1.9M
BZUNBaozun Inc
$1.9M
HASHasbro Inc
$1.9M
DELLDell Technologies Inc
$1.8M
DBDeutsche Bank AG
$1.8M
COOCooper Cos Inc/The
$1.8M
FEFirstEnergy Corp
$1.8M
HIIHuntington Ingalls Industries Inc
$1.8M
EQIXEquinix Inc
$1.8M
LBTYBLiberty Global PLC
$1.7M
IFFInternational Flavors & Fragrances Inc
$1.7M
ROPRoper Technologies Inc
$1.7M
INGRIngredion Inc
$1.7M
ARCPEURVEREIT Inc
$1.7M
SAMBoston Beer Company Inc, The
$1.7M
QIAGEN NV
$1.7M
PreviousPage 5 of 8Next