
CONNOR CLARK & LUNN INVESTMENT MANAGEMENT LTD
Latest 13F filing data - Q4 2013
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | T | 142K | $5.29M |
![]() | NXST | 138K | $8.19M |
![]() | F | 137K | $2.25M |
![]() | FSLR | 134K | $7.76M |
![]() | SLB | 129K | $12.34M |
![]() | VRTX | 125K | $9.84M |
![]() | LINC | 123K | $652.00K |
![]() | AMGN | 118K | $14.29M |
![]() | SKYW | 117K | $1.84M |
![]() | SCHW | 113K | $3.11M |
![]() | MYGN | 106K | $2.37M |
![]() | AXP | 105K | $10.13M |
![]() | ORCL | 105K | $4.27M |
![]() | BSX | 105K | $1.34M |
![]() | JPM | 103K | $6.37M |
![]() | CVS | 102K | $7.78M |
![]() | WDC | 102K | $9.09M |
![]() | LOPE | 97K | $4.49M |
![]() | HAL | 97K | $5.23M |
![]() | QNST | 94K | $864.00K |

AT&T Inc.
T
Shares Held
142K
Value
$5.29M

Nexstar Media Group, Inc.
NXST
Shares Held
138K
Value
$8.19M

Ford Motor Company
F
Shares Held
137K
Value
$2.25M

First Solar, Inc.
FSLR
Shares Held
134K
Value
$7.76M

SLB N.V.
SLB
Shares Held
129K
Value
$12.34M

Vertex Pharmaceuticals Incorporated
VRTX
Shares Held
125K
Value
$9.84M

Lincoln Educational Services Corporation
LINC
Shares Held
123K
Value
$652.00K

Amgen Inc.
AMGN
Shares Held
118K
Value
$14.29M

SkyWest, Inc.
SKYW
Shares Held
117K
Value
$1.84M

The Charles Schwab Corporation
SCHW
Shares Held
113K
Value
$3.11M

Myriad Genetics, Inc.
MYGN
Shares Held
106K
Value
$2.37M

American Express Company
AXP
Shares Held
105K
Value
$10.13M

Oracle Corporation
ORCL
Shares Held
105K
Value
$4.27M

Boston Scientific Corporation
BSX
Shares Held
105K
Value
$1.34M

JPMorgan Chase & Co.
JPM
Shares Held
103K
Value
$6.37M

CVS Health Corporation
CVS
Shares Held
102K
Value
$7.78M

Western Digital Corporation
WDC
Shares Held
102K
Value
$9.09M

Grand Canyon Education, Inc.
LOPE
Shares Held
97K
Value
$4.49M

Halliburton Company
HAL
Shares Held
97K
Value
$5.23M

QuinStreet, Inc.
QNST
Shares Held
94K
Value
$864.00K
