
CONNOR, CLARK & LUNN INVESTMENT MANAGEMENT LTD.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | OPK | 393K | $608.78K |
![]() | BMRN | 391K | $21.16M |
![]() | PCAR | 390K | $38.36M |
![]() | BILL | 387K | $20.52M |
![]() | GDYN | 385K | $2.97M |
![]() | DGICA | 384K | $7.45M |
![]() | FULC | 384K | $3.53M |
![]() | ZNTL | 381K | $575.04K |
![]() | TTEK | 380K | $12.68M |
![]() | MET | 378K | $31.12M |
![]() | VREX | 376K | $4.66M |
![]() | ACT | 375K | $14.39M |
![]() | TIMB | 375K | $8.36M |
![]() | STZ | 374K | $50.30M |
![]() | TWLO | 373K | $37.35M |
![]() | ADTN | 371K | $3.48M |
![]() | CORT | 370K | $30.74M |
![]() | ZTS | 369K | $53.98M |
![]() | KTOS | 368K | $33.65M |
![]() | CRK | 365K | $7.24M |

OPKO Health, Inc.
OPK
Shares Held
393K
Value
$608.78K

BioMarin Pharmaceutical Inc.
BMRN
Shares Held
391K
Value
$21.16M

PACCAR Inc
PCAR
Shares Held
390K
Value
$38.36M

Bill.com Holdings, Inc.
BILL
Shares Held
387K
Value
$20.52M

Grid Dynamics Holdings, Inc.
GDYN
Shares Held
385K
Value
$2.97M

Donegal Group Inc.
DGICA
Shares Held
384K
Value
$7.45M

Fulcrum Therapeutics, Inc.
FULC
Shares Held
384K
Value
$3.53M

Zentalis Pharmaceuticals, Inc.
ZNTL
Shares Held
381K
Value
$575.04K

Tetra Tech, Inc.
TTEK
Shares Held
380K
Value
$12.68M

MetLife, Inc.
MET
Shares Held
378K
Value
$31.12M

Varex Imaging Corporation
VREX
Shares Held
376K
Value
$4.66M

Enact Holdings, Inc.
ACT
Shares Held
375K
Value
$14.39M

TIM S.A.
TIMB
Shares Held
375K
Value
$8.36M

Constellation Brands, Inc.
STZ
Shares Held
374K
Value
$50.30M

Twilio Inc.
TWLO
Shares Held
373K
Value
$37.35M

ADTRAN Holdings, Inc.
ADTN
Shares Held
371K
Value
$3.48M

Corcept Therapeutics Incorporated
CORT
Shares Held
370K
Value
$30.74M

Zoetis Inc.
ZTS
Shares Held
369K
Value
$53.98M

Kratos Defense & Security Solutions, Inc.
KTOS
Shares Held
368K
Value
$33.65M

Comstock Resources, Inc.
CRK
Shares Held
365K
Value
$7.24M
