Ensign Peak Advisors, Inc Q3 2020 Filing

Filed November 12, 2020

Portfolio Value

$35.2B

Holdings

1,740

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (1,740 positions)

StockValue
GILGildan Activewear Inc
$295K
TFINTriumph Bancorp Inc
$293K
GHGuardant Health Inc
$293K
TALOTalos Energy Inc
$291K
BFHAlliance Data Systems Corp
$290K
NKTXNkarta Inc
$289K
SATSEchoStar Corp
$288K
Prevail Therapeutics Inc
$286K
SHOPShopify Inc
$285K
MTS Systems Corp
$284K
VTOLEra Group Inc
$284K
AVDAmerican Vanguard Corp
$284K
ONTOOnto Innovation Inc
$283K
XXYCross Country Healthcare Inc
$282K
GenMark Diagnostics Inc
$279K
Greenhill & Co Inc
$278K
XLBMaterials Select Sector SPDR Fund
$277K
RWTRedwood Trust Inc
$277K
FREQFrequency Therapeutics Inc
$275K
ASNSUSDArsanis Inc
$272K
COLMColumbia Sportswear Co
$270K
SENEASeneca Foods Corp
$269K
TECK/BTeck Resources Ltd
$263K
FFFutureFuel Corp
$259K
FIXXEURHomology Medicines Inc
$256K
BJRIBJ's Restaurants Inc
$256K
Molecular Templates Inc
$253K
OMGBPOutset Medical Inc
$250K
MIC2EURMacquarie Infrastructure Co LLC
$245K
BOKFBOK Financial Corp
$244K
OFIXOrthofix International NV
$243K
GOOGGoogle Inc
$241K
VRTVEURVeritiv Corp
$241K
TG7Triumph Group Inc
$240K
TNDMTandem Diabetes Care Inc
$239K
CUTREURCutera Inc
$239K
Healthways Inc
$230K
Syros Pharmaceuticals Inc
$230K
HAFCHanmi Financial Corp
$222K
CO2ACato Corp/The
$222K
STOKStoke Therapeutics Inc
$219K
VRSUSDVerso Corp
$219K
RGSUSDRegis Corp
$214K
INZYInozyme Pharma Inc
$210K
EPIEUREssa Pharma Inc
$204K
ILPTIndustrial Logistics Properties Trust
$203K
IRTIndependence Realty Trust Inc
$203K
UHALAMERCO
$199K
IRET1USDInvestors Real Estate Trust
$196K
NBL2EURNoble Energy Inc
$194K
GEOSGeospace Technologies Corp
$186K
BHCValeant Pharmaceuticals International Inc
$184K
FDPFresh Del Monte Produce Inc
$183K
LPGDorian LPG Ltd
$182K
Team Inc
$179K
PRTAProthena Corp PLC
$176K
CUBECubeSmart
$176K
Third Point Reinsurance Ltd
$174K
TRGPTarga Resources Corp
$174K
HTEURHersha Hospitality Trust
$173K
ISRGIntuitive Surgical Inc
$172K
CRVLCorVel Corp
$171K
CSGPCoStar Group Inc
$168K
ACIAlbertsons Cos Inc
$166K
NBRNabors Industries Ltd
$166K
MOVMovado Group Inc
$164K
ACICUnited Insurance Holdings Corp
$161K
CCOCameco Corp
$157K
CVECenovus Energy Inc
$155K
NOMDNomad Foods Ltd
$152K
CHTRCharter Communications Inc
$151K
LNGCheniere Energy Inc
$151K
NPKNational Presto Industries Inc
$147K
PAHUSDPlatform Specialty Products Corp
$143K
TREURTrillium Therapeutics Inc
$142K
IMOImperial Oil Ltd
$132K
DTDynatrace Inc
$131K
SAFTSafety Insurance Group Inc
$131K
CEIXEURCONSOL Energy Inc
$126K
YRIYamana Gold Inc
$126K
HSTMHealthStream Inc
$124K
AERAerCap Holdings NV
$123K
ATYRLife Technologies Corp
$122K
CALCaleres Inc
$121K
BBTBerkshire Hills Bancorp Inc
$120K
PAASPan American Silver Corp
$118K
XLIIndustrial Select Sector SPDR Fund
$109K
CAECAE Inc
$108K
BTOB2Gold Corp
$107K
CLDTChatham Lodging Trust
$104K
NTNXNutanix Inc
$102K
MCSMarcus Corp/The
$98K
QVCAUSDLiberty Interactive Corp
$97K
6PMParamount Group Inc
$96K
Exterran Corp
$88K
REGNRegeneron Pharmaceuticals Inc
$85K
CHCTCommunity Healthcare Trust Inc
$84K
ONON Semiconductor Corp
$83K
51AAmerican Public Education Inc
$79K
SHWSherwin-Williams Co/The
$79K
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