CANADA PENSION PLAN INVESTMENT BOARD Q1 2020 Filing

Filed May 13, 2020

Portfolio Value

$38.0T

Holdings

1,302

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,302 positions)

#StockSharesValue% PortfolioType
1
BABAALIBABA GROUP HLDG LTD
12,813,461$2.5T6.55%
2
IHS MARKIT LTD
22,031,949$1.3T3.48%
3
GOOGLALPHABET INC
1,114,982$1.3T3.41%
4
MAMASTERCARD INC
4,990,974$1.2T3.17%
5
WTRGESSENTIAL UTILS INC
21,661,095$881.6B2.32%
6
NVDANVIDIA CORP
2,843,059$749.4B1.97%
7
MSFTMICROSOFT CORP
4,629,532$730.1B1.92%
8
METAFACEBOOK INC
4,000,452$667.3B1.75%
9
IACIEURIAC INTERACTIVECORP
3,504,953$628.2B1.65%
10
UNHUNITEDHEALTH GROUP INC
2,488,006$620.5B1.63%
11
SBACSBA COMMUNICATIONS CORP NEW
2,274,693$614.1B1.61%
12
UNPUNION PAC CORP
3,976,978$560.9B1.47%
13
ADSWADVANCED DISP SVCS INC DEL
16,572,106$543.6B1.43%
14
JNJJOHNSON & JOHNSON
3,976,716$521.5B1.37%
15
LYVLIVE NATION ENTERTAINMENT IN
10,716,557$487.2B1.28%
16
FQIDIGITAL RLTY TR INC
3,388,984$470.8B1.24%
17
LINLINDE PLC
2,679,376$463.5B1.22%
18
AAPLAPPLE INC
1,814,542$461.4B1.21%
19
LQDISHARES TR
3,663,300$452.5B1.19%
20
AMZNAMAZON COM INC
231,094$450.6B1.18%
21
AKAMAKAMAI TECHNOLOGIES INC
4,685,910$428.7B1.13%
22
BACBK OF AMERICA CORP
18,616,493$395.2B1.04%
23
RYROYAL BK CDA
6,381,700$390.8B1.03%
24
XLNXEURXILINX INC
4,601,347$358.6B0.94%
25
CRCCANADIAN NAT RES LTD
26,260,959$355.2B0.93%
26
JPMJPMORGAN CHASE & CO
3,804,608$342.5B0.90%
27
AMTAMERICAN TOWER CORP NEW
1,424,647$310.2B0.82%
28
IQVIQVIA HLDGS INC
2,794,685$301.4B0.79%
29
MRKMERCK & CO. INC
3,817,120$293.7B0.77%
30
NKENIKE INC
3,468,182$287.0B0.75%
31
FDXFEDEX CORP
2,342,826$284.1B0.75%
32
PGPROCTER & GAMBLE CO
2,567,179$282.4B0.74%
33
TMETENCENT MUSIC ENTMT GROUP
26,997,670$271.6B0.71%
34
TAT&T INC
9,188,152$267.8B0.70%
35
KOCOCA COLA CO
5,905,232$261.3B0.69%
36
RCLROYAL CARIBBEAN CRUISES LTD
8,102,020$260.6B0.69%
37
PANWPALO ALTO NETWORKS INC
1,548,587$253.9B0.67%
38
ILMNILLUMINA INC
927,061$253.2B0.67%
39
ALLERGAN PLC
1,420,844$251.6B0.66%
40
OPTUALTICE USA INC
11,192,697$249.5B0.66%
41
ESGRENSTAR GROUP LIMITED
1,501,211$238.8B0.63%
42
EQHEQUITABLE HLDGS INC
16,515,678$238.7B0.63%
43
BACVERIZON COMMUNICATIONS INC
4,183,510$224.8B0.59%
44
PFEPFIZER INC
6,673,101$217.8B0.57%
45
AMGNAMGEN INC
960,175$194.7B0.51%
46
TRVCCITIGROUP INC
4,545,254$191.4B0.50%
47
EQIXEQUINIX INC
303,755$189.7B0.50%
48
COSTCOSTCO WHSL CORP NEW
649,066$185.1B0.49%
49
8CWCROWN CASTLE INTL CORP NEW
1,252,916$180.9B0.48%
50
BRK/BBERKSHIRE HATHAWAY INC DEL
983,150$179.7B0.47%
51
WFCWELLS FARGO CO NEW
6,061,989$174.0B0.46%
52
TIM PARTICIPACOES S A
14,007,490$170.3B0.45%
53
SHOPSHOPIFY INC
403,425$167.4B0.44%
54
TFCTRUIST FINL CORP
5,316,418$164.0B0.43%
55
FRCBFIRST REP BK SAN FRANCISCO C
1,965,484$161.7B0.43%
56
BNSBANK NOVA SCOTIA B C
4,000,264$161.5B0.42%
57
PEPPEPSICO INC
1,341,025$161.1B0.42%
58
JDJD COM INC
3,795,980$153.7B0.40%
59
GOOGALPHABET INC
123,145$143.2B0.38%
60
WMTWALMART INC
1,221,697$138.8B0.36%
61
RACEFERRARI N V
890,145$138.2B0.36%
62
ORCLORACLE CORP
2,735,960$132.2B0.35%
63
GW PHARMACEUTICALS PLC
1,500,000$131.4B0.35%
64
INTCINTEL CORP
2,363,314$127.9B0.34%
65
CMCSACOMCAST CORP NEW
3,687,024$126.8B0.33%
66
NXPINXP SEMICONDUCTORS N V
1,503,434$124.7B0.33%
67
BMYBRISTOL-MYERS SQUIBB CO
2,221,125$123.8B0.33%
68
TALTAL EDUCATION GROUP
2,212,305$117.8B0.31%
69
PPLPEMBINA PIPELINE CORP
5,804,905$107.7B0.28%
70
PYPLPAYPAL HLDGS INC
1,105,293$105.8B0.28%
71
GILDGILEAD SCIENCES INC
1,368,230$102.3B0.27%
72
ABTABBOTT LABS
1,293,125$102.0B0.27%
73
DUKDUKE ENERGY CORP NEW
1,255,743$101.6B0.27%
74
CMCANADIAN IMP BK COMM
1,750,000$100.8B0.27%
75
NEENEXTERA ENERGY INC
416,872$100.3B0.26%
76
MDTMEDTRONIC PLC
1,084,283$97.8B0.26%
77
DISDISNEY WALT CO
1,007,961$97.4B0.26%
78
TDTORONTO DOMINION BK ONT
2,260,062$95.0B0.25%
79
HDHOME DEPOT INC
489,961$91.5B0.24%
80
CP.TOCANADIAN PAC RY LTD
415,597$90.7B0.24%
81
TMOTHERMO FISHER SCIENTIFIC INC
312,716$88.7B0.23%
82
PSAPUBLIC STORAGE
445,391$88.5B0.23%
83
PLDPROLOGIS INC.
1,096,105$88.1B0.23%
84
SJR/BEURSHAW COMMUNICATIONS INC
5,414,010$86.8B0.23%
85
MPCMARATHON PETE CORP
3,639,075$86.0B0.23%
86
EQREQUITY RESIDENTIAL
1,392,504$85.9B0.23%
87
ABBVABBVIE INC
1,118,764$85.2B0.22%
88
CVSCVS HEALTH CORP
1,426,360$84.6B0.22%
89
NTRNUTRIEN LTD
2,500,010$84.5B0.22%
90
AEPAMERICAN ELEC PWR CO INC
1,013,293$81.0B0.21%
91
PAGSPAGSEGURO DIGITAL LTD
4,160,000$80.4B0.21%
92
LLYLILLY ELI & CO
571,420$79.3B0.21%
93
EDUNEW ORIENTAL ED & TECH GRP I
726,291$78.6B0.21%
94
QIAGEN NV
1,924,555$77.3B0.20%
95
DHRDANAHER CORPORATION
543,293$75.2B0.20%
96
FNVFRANCO NEVADA CORP
760,000$75.1B0.20%
97
SOSOUTHERN CO
1,357,376$73.5B0.19%
98
APDAIR PRODS & CHEMS INC
363,423$72.5B0.19%
99
MRNAMODERNA INC
2,389,473$71.6B0.19%
100
BAXBAXTER INTL INC
876,445$71.2B0.19%
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