Ensign Peak Advisors, Inc Q4 2020 Filing

Filed February 12, 2021

Portfolio Value

$44.1B

Holdings

1,854

Report Date

Q4 2020

Filing Type

13F-HR

All Holdings (1,854 positions)

StockValue
SCSantander Consumer USA Holdings Inc
$162.0M
ZLABZai Lab Ltd
$162.0M
CSGPCoStar Group Inc
$160.0M
HSKAEURHeska Corp
$160.0M
CHTRCharter Communications Inc
$159.4M
NPKNational Presto Industries Inc
$159.0M
PRKPark National Corp
$158.0M
CMECME Group Inc/IL
$157.9M
IQVQuintiles Transnational Holdings Inc
$157.8M
PFEPfizer Inc
$157.7M
ADIAnalog Devices Inc
$157.3M
BTOB2Gold Corp
$156.0M
BMYBristol-Myers Squibb Co
$153.9M
DWDMorgan Stanley
$153.5M
HUNHuntsman Corp
$153.0M
DGDollar General Corp
$152.8M
XOMExxon Mobil Corp
$148.0M
SAFTSafety Insurance Group Inc
$148.0M
VWOVanguard FTSE Emerging Markets ETF
$147.9M
SOSouthern Co/The
$147.8M
ATYRLife Technologies Corp
$147.0M
AIVApartment Investment & Management Co
$147.0M
RGAReinsurance Group of America Inc
$146.0M
ACICUnited Insurance Holdings Corp
$144.0M
CBChubb Corp/The
$141.6M
AONAon PLC
$140.8M
COSTCostco Wholesale Corp
$140.7M
51AAmerican Public Education Inc
$140.0M
WFCWells Fargo & Co
$138.6M
DUKDuke Energy Corp
$138.4M
TRGPTarga Resources Corp
$138.0M
CN4Conn's Inc
$138.0M
TMETencent Music Entertainment Group
$138.0M
LGF/BEURLions Gate Entertainment Corp
$137.0M
HTHTHuazhu Group Ltd
$135.0M
HSTMHealthStream Inc
$135.0M
MTRNMaterion Corp
$134.0M
GMGeneral Motors Co
$132.5M
LHXL3 Harris Corp
$131.1M
XPEVXPeng Inc
$131.0M
LLYEli Lilly & Co
$130.2M
ROSTRoss Stores Inc
$128.3M
VRTXVertex Pharmaceuticals Inc
$128.0M
YRIYamana Gold Inc
$128.0M
CSCOCisco Systems Inc
$127.6M
MDLZMondelez International Inc
$127.5M
AORTCryoLife Inc
$127.0M
IBMInternational Business Machines Corp
$125.5M
FBKFB Financial Corp
$125.0M
FISFidelity National Information Services Inc
$124.2M
FTVFortive Corp
$123.9M
HIGHartford Financial Services Group Inc
$123.6M
Fiesta Restaurant Group Inc
$123.0M
AGYSAgilysys Inc
$123.0M
FCFFirst Commonwealth Financial Corp
$121.0M
CRMTAmerica's Car-Mart Inc/TX
$121.0M
MDTMedtronic Inc
$119.3M
WABWabtec Corp/DE
$118.6M
WMWaste Management Inc
$117.0M
FDXFedEx Corp
$116.7M
COPConocoPhillips
$116.3M
ZYXIQZynex Inc
$116.0M
ESNortheast Utilities
$115.4M
AVGOAvago Technologies Ltd
$112.1M
IVViShares Core S&P 500 ETF
$111.0M
AROCArchrock Inc
$111.0M
UIUbiquiti Networks Inc
$110.0M
SATSEchoStar Corp
$110.0M
SPYSPDR S&P 500 ETF Trust
$109.4M
DYHTarget Corp
$107.5M
MARMarriott International Inc/DE
$107.0M
BANFBancFirst Corp
$106.0M
BEKEKE Holdings Inc
$105.0M
ATHMAutohome Inc
$105.0M
MRTNMarten Transport Ltd
$105.0M
TFCBB&T Corp
$104.3M
DDDuPont de Nemours Inc
$102.5M
EPAMEPAM Systems Inc
$101.1M
LKQ1LKQ Corp
$101.0M
CNCCentene Corp
$99.8M
RYRoyal Bank of Canada
$99.6M
BM Technologies Inc
$97.0M
BBBlackBerry Ltd
$97.0M
PFBCPreferred Bank/Los Angeles CA
$96.0M
TTECTeleTech Holdings Inc
$95.0M
NBHCNational Bank Holdings Corp
$95.0M
ROKURoku Inc
$95.0M
EQHAXA Equitable Holdings Inc
$93.9M
UEOWestlake Chemical Corp
$93.0M
NBTBNBT Bancorp Inc
$93.0M
GILDGilead Sciences Inc
$91.8M
MCDMcDonald's Corp
$90.0M
CRDFTrovagene Inc
$90.0M
GSGoldman Sachs Group Inc/The
$88.4M
LTHM1EURLivent Corp
$87.5M
IQiQIYI Inc
$87.0M
CVSCVS Caremark Corp
$86.8M
Israel Chemicals Ltd
$86.0M
Dicerna Pharmaceuticals Inc
$85.0M
ELEstee Lauder Cos Inc/The
$84.7M
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