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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

CANADA PENSION PLAN INVESTMENT BOARD INSTITUTION : CANADA PENSION PLAN INVESTMENT BOARD
CANADA PENSION PLAN INVESTMENT BOARD Portfolio (reported on 2021-05-17)
Company (links to holding history) Ticker Value On
2021-03-31
No of Shares % of portfolio
ALPHABET INC    (Common Stock) GOOGL 2,463,323,000 1,194,327 3.19%
IHS MARKIT LTD    (Common Stock) 2,132,252,000 22,031,949 2.76%
ALIBABA GROUP HLDG LTD    (Depository Receipt) BABA 2,025,648,000 8,934,186 2.62%
MASTERCARD INCORPORATED    (Common Stock) MA 1,846,632,000 5,186,440 2.39%
PETCO HEALTH & WELLNESS CO I    (Common Stock) 1,554,022,000 70,127,353 2.01%
FACEBOOK INC    (Common Stock) FB 1,471,834,000 4,997,228 1.90%
UNITEDHEALTH GROUP INC    (Common Stock) UNH 1,275,340,000 3,427,689 1.65%
NVIDIA CORPORATION    (Common Stock) NVDA 1,177,228,000 2,204,836 1.52%
AMAZON COM INC    (Common Stock) AMZN 1,175,382,000 379,881 1.52%
MICROSOFT CORP    (Common Stock) MSFT 972,955,000 4,126,711 1.26%
ESSENTIAL UTILS INC    (Common Stock) 969,334,000 21,661,095 1.25%
LINDE PLC    (Common Stock) 944,848,000 3,372,769 1.22%
CANADIAN NAT RES LTD    (Common Stock) CNQ 907,489,000 29,361,159 1.17%
APPLE INC    (Common Stock) AAPL 894,325,000 7,321,527 1.15%
UNION PAC CORP    (Common Stock) UNP 865,857,000 3,928,391 1.12%
ALPHABET INC    (Common Stock) GOOG 831,604,000 402,007 1.07%
JOHNSON & JOHNSON    (Common Stock) JNJ 777,487,000 4,730,681 1.00%
IAC INTERACTIVECORP NEW    (Common Stock) 752,317,000 3,477,957 0.97%
AKAMAI TECHNOLOGIES INC    (Common Stock) AKAM 751,993,000 7,379,720 0.97%
LIVE NATION ENTERTAINMENT IN    (Common Stock) LYV 746,384,000 8,817,289 0.96%
JPMORGAN CHASE & CO    (Common Stock) JPM 697,280,000 4,580,439 0.90%
ROYAL BK CDA    (Common Stock) RY 691,431,000 7,500,000 0.89%
PROCTER AND GAMBLE CO    (Common Stock) PG 653,309,000 4,823,960 0.84%
PALO ALTO NETWORKS INC    (Common Stock) PANW 595,053,000 1,847,645 0.77%
BERKSHIRE HATHAWAY INC DEL    (Common Stock) BRK/B 589,718,000 2,308,367 0.76%
EQUITABLE HLDGS INC    (Common Stock) 587,157,000 17,999,904 0.76%
NIKE INC    (Common Stock) NKE 586,404,000 4,412,700 0.76%
DIGITAL RLTY TR INC    (REIT) DLR 559,858,000 3,975,136 0.72%
BK OF AMERICA CORP    (Common Stock) BAC 559,818,000 14,469,317 0.72%
PFIZER INC    (Common Stock) PFE 498,734,000 13,765,773 0.64%
XILINX INC    (Common Stock) XLNX 488,999,000 3,946,723 0.63%
UNITY SOFTWARE INC    (Common Stock) 480,843,000 4,793,565 0.62%
TRUIST FINL CORP    (Common Stock) 470,842,000 8,073,422 0.61%
IQVIA HLDGS INC    (Common Stock) 457,758,000 2,370,085 0.59%
DISNEY WALT CO    (Common Stock) DIS 427,243,000 2,315,429 0.55%
ROYAL CARIBBEAN GROUP    (Common Stock) RCL 410,613,000 4,796,326 0.53%
SPDR S&P 500 ETF TR    (Public Fund) SPY 408,370,000 1,030,379 0.52%
MERCK & CO. INC    (Common Stock) MRK 404,896,000 5,252,251 0.52%
PINDUODUO INC    (Depository Receipt) 400,351,000 2,990,367 0.51%
TORONTO DOMINION BK ONT    (Common Stock) TD 394,133,000 6,044,001 0.51%
MARSH & MCLENNAN COS INC    (Common Stock) MMC 392,646,000 3,223,694 0.50%
MYT NETHERLANDS PARENT B V    (Common Stock) 390,483,000 13,817,522 0.50%
COCA COLA CO    (Common Stock) KO 372,142,000 7,060,170 0.48%
TC ENERGY CORP    (Common Stock) 371,737,000 8,110,000 0.48%
ENSTAR GROUP LIMITED    (Common Stock) ESGR 370,394,000 1,501,211 0.48%
AVANTOR INC    (Common Stock) 368,043,000 12,721,862 0.47%
CHARGEPOINT HOLDINGS INC    (Common Stock) 367,380,000 13,754,631 0.47%
TENCENT MUSIC ENTMT GROUP    (Depository Receipt) 351,374,000 17,148,557 0.45%
AMERICAN TOWER CORP NEW    (Common Stock) AMT 343,706,000 1,437,739 0.44%
CITIGROUP INC    (Common Stock) C 341,299,000 4,691,392 0.44%
SANA BIOTECHNOLOGY INC    (Common Stock) 340,557,000 10,175,000 0.44%
NETFLIX INC    (Common Stock) NFLX 338,154,000 648,227 0.43%
ABBVIE INC    (Common Stock) ABBV 332,564,000 3,073,033 0.43%
NEXTERA ENERGY INC    (Common Stock) NEE 322,272,000 4,262,284 0.41%
ISHARES TR    (Public Fund) IWM 320,363,000 1,450,000 0.41%
NUTRIEN LTD    (Common Stock) 316,726,000 5,880,010 0.41%
MORGAN STANLEY    (Common Stock) MS 309,787,000 3,989,019 0.40%
SBA COMMUNICATIONS CORP NEW    (REIT) 307,270,000 1,107,080 0.39%
VANECK VECTORS ETF TR    (Public Fund) 303,818,000 6,750,000 0.39%
SEA LTD    (Depository Receipt) 298,556,000 1,337,435 0.38%
VIACOMCBS INC    (Common Stock) 298,002,000 6,607,599 0.38%
PAYPAL HLDGS INC    (Common Stock) PYPL 292,964,000 1,206,408 0.37%
NIO INC    (Depository Receipt) 286,361,000 7,346,351 0.37%
BOOKING HOLDINGS INC    (Common Stock) 285,974,000 122,744 0.37%
ILLUMINA INC    (Common Stock) ILMN 281,049,000 731,784 0.36%
PROLOGIS INC.    (REIT) PLD 279,998,000 2,641,495 0.36%
KINGSOFT CLOUD HLDGS LTD    (Depository Receipt) 277,888,000 7,067,345 0.36%
BAIDU INC    (Depository Receipt) BIDU 276,341,000 1,270,240 0.35%
SOLARWINDS CORP    (Common Stock) 272,135,000 15,604,087 0.35%
PEPSICO INC    (Common Stock) PEP 266,630,000 1,884,977 0.34%
BRISTOL-MYERS SQUIBB CO    (Common Stock) BMY 265,306,000 4,202,540 0.34%
VERTEX PHARMACEUTICALS INC    (Common Stock) VRTX 263,772,000 1,227,475 0.34%
SHOPIFY INC    (Common Stock) 262,713,000 237,799 0.34%
ABBOTT LABS    (Common Stock) ABT 259,575,000 2,166,016 0.33%
COMCAST CORP NEW    (Common Stock) CMCSA 257,962,000 4,767,366 0.33%
INVESCO QQQ TR    (Public Fund) 255,304,000 800,000 0.33%
T-MOBILE US INC    (Common Stock) TMUS 253,562,000 2,023,799 0.32%
BOSTON SCIENTIFIC CORP    (Common Stock) BSX 251,218,000 6,499,821 0.32%
PHILIP MORRIS INTL INC    (Common Stock) PM 248,590,000 2,801,333 0.32%
AVALONBAY CMNTYS INC    (REIT) AVB 247,043,000 1,338,913 0.32%
VERIZON COMMUNICATIONS INC    (Common Stock) VZ 245,401,000 4,220,143 0.31%
EXXON MOBIL CORP    (Common Stock) XOM 240,091,000 4,300,407 0.31%
TRIP COM GROUP LTD    (Depository Receipt) 238,012,000 6,005,840 0.30%
ISHARES TR    (Public Fund) ACWI 237,875,000 2,500,000 0.30%
CROWN CASTLE INTL CORP NEW    (REIT) CCI 236,453,000 1,373,688 0.30%
WALMART INC    (Common Stock) WMT 234,208,000 1,724,271 0.30%
MGM RESORTS INTERNATIONAL    (Common Stock) MGM 230,508,000 6,067,600 0.29%
PUBLIC STORAGE    (REIT) PSA 223,601,000 906,147 0.28%
MEDTRONIC PLC    (Common Stock) MDT 222,060,000 1,879,790 0.28%
COSTCO WHSL CORP NEW    (Common Stock) COST 220,671,000 626,052 0.28%
VANECK VECTORS ETF TR    (Public Fund) GDX 219,463,000 6,752,712 0.28%
PALANTIR TECHNOLOGIES INC    (Common Stock) 218,437,000 9,379,007 0.28%
DANAHER CORPORATION    (Common Stock) DHR 216,267,000 960,845 0.28%
SLACK TECHNOLOGIES INC    (Common Stock) 212,251,000 5,224,000 0.27%
JOYY INC    (Depository Receipt) 211,610,000 2,257,650 0.27%
LILLY ELI & CO    (Common Stock) LLY 207,017,000 1,108,107 0.26%
VIPSHOP HOLDINGS LIMITED    (Depository Receipt) VIPS 206,530,000 6,916,610 0.26%
WELLS FARGO CO NEW    (Common Stock) WFC 205,409,000 5,257,458 0.26%
HOME DEPOT INC    (Common Stock) HD 203,760,000 667,520 0.26%
ZOETIS INC    (Common Stock) ZTS 200,057,000 1,270,365 0.25%
AT&T INC    (Common Stock) T 199,618,000 6,594,586 0.25%
EQUINIX INC    (REIT) EQIX 198,529,000 292,130 0.25%
MID-AMER APT CMNTYS INC    (Common Stock) MAA 197,189,000 1,365,951 0.25%
AMGEN INC    (Common Stock) AMGN 193,769,000 778,784 0.25%
PEMBINA PIPELINE CORP    (Common Stock) PBNPF 193,043,000 6,683,905 0.25%
DISCOVERY INC    (Common Stock) DISCA 188,964,000 4,348,002 0.24%
ANTHEM INC    (Common Stock) ANTM 187,415,000 522,119 0.24%
RESTAURANT BRANDS INTL INC    (Common Stock) QSR 185,329,000 2,850,010 0.24%
IAA INC    (Common Stock) 180,319,000 3,270,204 0.23%
DISCOVERY INC    (Common Stock) DISCK 179,732,000 4,872,093 0.23%
US BANCORP DEL    (Common Stock) USB 177,270,000 3,205,025 0.22%
JD.COM INC    (Depository Receipt) JD 176,674,000 2,095,030 0.22%
NEW ORIENTAL ED & TECHNOLOGY    (Depository Receipt) EDU 175,385,000 12,527,510 0.22%
SCHWAB CHARLES CORP    (Common Stock) SCHW 173,517,000 2,662,118 0.22%
HONEYWELL INTL INC    (Common Stock) HON 171,912,000 791,966 0.22%
FORTIVE CORP    (Common Stock) FTV 170,090,000 2,407,847 0.22%
NXP SEMICONDUCTORS N V    (Common Stock) NXPI 169,796,000 843,330 0.22%
TAL EDUCATION GROUP    (Depository Receipt) XRS 169,407,000 3,145,914 0.21%
EXPEDIA GROUP INC    (Common Stock) EXPE 168,482,000 978,864 0.21%
DUKE ENERGY CORP NEW    (Common Stock) DUK 167,457,000 1,734,766 0.21%
MINISO GROUP HLDG LTD    (Depository Receipt) 166,347,000 6,925,350 0.21%
MODERNA INC    (Common Stock) 165,223,000 1,261,728 0.21%
MARATHON PETE CORP    (Common Stock) MPC 163,780,000 3,061,881 0.21%
GOLDMAN SACHS GROUP INC    (Common Stock) GS 160,565,000 491,023 0.20%
QUEST DIAGNOSTICS INC    (Common Stock) DGX 152,670,000 1,189,576 0.19%
CIGNA CORP NEW    (Common Stock) 150,736,000 623,547 0.19%
TE CONNECTIVITY LTD    (Common Stock) TEL 149,617,000 1,158,834 0.19%
SOUTHERN CO    (Common Stock) SO 149,518,000 2,405,372 0.19%
GENERAL MTRS CO    (Common Stock) GM 149,281,000 2,598,000 0.19%
CME GROUP INC    (Common Stock) CME 149,259,000 730,840 0.19%
BLACKROCK INC    (Common Stock) BLK 149,200,000 197,888 0.19%
GILEAD SCIENCES INC    (Common Stock) GILD 147,130,000 2,276,496 0.19%
PNC FINL SVCS GROUP INC    (Common Stock) PNC 146,351,000 834,339 0.18%
BANK MONTREAL QUE    (Common Stock) BMO 145,724,000 1,635,000 0.18%
AIR PRODS & CHEMS INC    (Common Stock) APD 145,191,000 516,070 0.18%
CVS HEALTH CORP    (Common Stock) CVS 144,422,000 1,919,745 0.18%
SUNCOR ENERGY INC NEW    (Common Stock) SU 144,362,000 6,906,958 0.18%
TAIWAN SEMICONDUCTOR MFG LTD    (Depository Receipt) TSM 142,693,000 1,206,400 0.18%
ISHARES TR    (Public Fund) LQD 141,533,000 1,088,300 0.18%
AVIS BUDGET GROUP    (Common Stock) CAR 140,837,000 1,941,500 0.18%
ADOBE SYSTEMS INCORPORATED    (Common Stock) ADBE 139,956,000 294,416 0.18%
BANK NOVA SCOTIA B C    (Common Stock) BNS 139,932,000 2,237,000 0.18%
ALEXANDRIA REAL ESTATE EQ IN    (REIT) ARE 138,245,000 841,421 0.17%
APTIV PLC    (Common Stock) 137,215,000 995,035 0.17%
SHAW COMMUNICATIONS INC    (Common Stock) SJR 136,144,000 5,236,010 0.17%
ORACLE CORP    (Common Stock) ORCL 132,063,000 1,882,040 0.17%
IQIYI INC    (Depository Receipt) 131,357,000 7,903,577 0.17%
STRYKER CORPORATION    (Common Stock) SYK 128,844,000 528,959 0.16%
DOMINION ENERGY INC    (Common Stock) D 128,029,000 1,685,476 0.16%
INPHI CORP    (Common Stock) IPHI 127,831,000 716,500 0.16%
QTS RLTY TR INC    (REIT) QTS 126,366,000 2,036,852 0.16%
CANADIAN IMP BK COMM    (Common Stock) CM 125,708,000 1,284,000 0.16%
INTUITIVE SURGICAL INC    (Common Stock) ISRG 125,315,000 169,588 0.16%
BROADCOM INC    (Common Stock) 123,569,000 266,507 0.16%
INTERNATIONAL FLAVORS&FRAGRA    (Common Stock) IFF 123,461,000 884,329 0.16%
NETEASE INC    (Depository Receipt) NTES 121,464,000 1,176,295 0.15%
ALLY FINL INC    (Common Stock) ALLY 121,077,000 2,678,110 0.15%
DATADOG INC    (Common Stock) 120,864,000 1,450,249 0.15%
BECTON DICKINSON & CO    (Common Stock) BDX 119,659,000 492,122 0.15%
SALESFORCE COM INC    (Common Stock) CRM 119,080,000 562,045 0.15%
INVITATION HOMES INC    (REIT) 118,588,000 3,707,024 0.15%
VORNADO RLTY TR    (REIT) VNO 117,623,000 2,591,383 0.15%
HUDSON PAC PPTYS INC    (REIT) HPP 117,191,000 4,319,601 0.15%
WHEATON PRECIOUS METALS CORP    (Common Stock) 114,572,000 3,000,000 0.14%
SIMON PPTY GROUP INC NEW    (REIT) SPG 114,557,000 1,006,914 0.14%
PG&E CORP    (Common Stock) PCG 113,236,000 9,670,000 0.14%
KE HLDGS INC    (Depository Receipt) 113,048,000 1,984,000 0.14%
SHERWIN WILLIAMS CO    (Common Stock) SHW 109,825,000 148,813 0.14%
MANHATTAN ASSOCIATES INC    (Common Stock) MANH 108,603,000 925,226 0.14%
DROPBOX INC    (Common Stock) 107,973,000 4,050,010 0.14%
MERCADOLIBRE INC    (Common Stock) MELI 107,454,000 72,992 0.13%
ALBEMARLE CORP    (Common Stock) ALB 106,953,000 732,003 0.13%
TWITTER INC    (Common Stock) TWTR 106,771,000 1,678,004 0.13%
SELECT SECTOR SPDR TR    (Public Fund) XLV 105,066,000 900,000 0.13%
INTERCONTINENTAL EXCHANGE IN    (Common Stock) ICE 100,767,000 902,288 0.13%
ASML HOLDING N V    (Depository Receipt) ASML 99,271,000 160,800 0.12%
CBRE GROUP INC    (Common Stock) CBG 98,958,000 1,250,889 0.12%
TARGET CORP    (Common Stock) TGT 98,837,000 499,000 0.12%
AMERICAN EXPRESS CO    (Common Stock) AXP 98,735,000 698,073 0.12%
MONDELEZ INTL INC    (Common Stock) MDLZ 98,262,000 1,678,821 0.12%
ALEXION PHARMACEUTICALS INC    (Common Stock) ALXN 94,703,000 619,340 0.12%
WEIBO CORP    (Depository Receipt) WB 93,029,000 1,843,611 0.12%
WELLTOWER INC    (REIT) HCN 92,652,000 1,293,478 0.12%
COLGATE PALMOLIVE CO    (Common Stock) CL 91,950,000 1,166,438 0.11%
ISHARES INC    (Public Fund) EWZ 89,281,000 2,669,100 0.11%
GSX TECHEDU INC    (Depository Receipt) 87,868,000 2,593,500 0.11%
CHUBB LIMITED    (Common Stock) CB 86,198,000 545,661 0.11%
EQUITY RESIDENTIAL    (REIT) EQR 85,475,000 1,193,286 0.11%
ALCON AG    (Common Stock) 85,341,000 1,213,991 0.11%
SYSCO CORP    (Common Stock) SYY 84,815,000 1,077,151 0.10%
ACCENTURE PLC IRELAND    (Common Stock) ACN 84,624,000 306,329 0.10%
S&P GLOBAL INC    (Common Stock) SPGI 84,615,000 239,792 0.10%
ECOLAB INC    (Common Stock) ECL 84,518,000 394,815 0.10%
ZILLOW GROUP INC    (Common Stock) 83,879,000 647,012 0.10%
HEALTHCARE RLTY TR    (REIT) HR 83,617,000 2,757,827 0.10%
BOEING CO    (Common Stock) BA 83,543,000 327,980 0.10%
INVESCO EXCHANGE TRADED FD T    (Public Fund) 82,729,000 584,000 0.10%
NEWMONT CORP    (Common Stock) NEM 82,645,000 1,371,242 0.10%
ELANCO ANIMAL HEALTH INC    (Common Stock) 82,064,000 2,786,570 0.10%
UBER TECHNOLOGIES INC    (Common Stock) 81,969,000 1,503,750 0.10%
1 2 3 4 5 6 7 Next >Full Portfolio View
Total Value As 2021-03-31: 77,106,823,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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