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Institutional Investment Manager
Connor, Clark & Lunn Investment Management Ltd.
Connor, Clark & Lunn Investment Management Ltd. (CIK: 0001596800), located at 2300 - 1111 West Georgia Street, Vancouver, A1. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 708 holdings with a total value of $12,323,108,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 WYNN RESORTS LTD 5,100 271,000 0.00%
102 CHANNELADVISOR CORP COM 27,500 273,000 0.00%
103 ASCENA RETAIL GROUP INC COM 20,000 278,000 0.00%
104 FISERV INC 3,225 279,000 0.00%
105 VECTRUS INC 12,718 280,000 0.00%
106 DISCOVER FINL SVCS 5,400 281,000 0.00%
107 SUNTRUST BKS INC 7,400 283,000 0.00%
108 ANIXTER INTL INC 4,900 283,000 0.00%
109 S&P GLOBAL INC 3,300 285,000 0.00%
110 BENEFITFOCUS INC 9,200 288,000 0.00%
111 ACI WORLDWIDE INC 13,900 294,000 0.00%
112 YUM BRANDS INC 3,700 296,000 0.00%
113 HHGREGG INC 61,100 298,000 0.00%
114 WEBMD HEALTH CORP 7,600 303,000 0.00%
115 ALMOST FAMILY INC COM 7,600 304,000 0.00%
116 LUMINEX CORP DEL 18,100 306,000 0.00%
117 RALPH LAUREN CORP 2,600 307,000 0.00%
118 Arena Pharmaceuticals, Inc 164,000 313,000 0.00%
119 AMERISOURCEBERGEN CORP 3,375 321,000 0.00%
120 MACYS INC 6,400 328,000 0.00%
121 AMDOCS LTD 5,800 330,000 0.00%
122 DELTA AIRLINES INC DEL 7,400 332,000 0.00%
123 KINDRED BIOSCIENCES INC 64,000 333,000 0.00%
124 SOUTHERN CO 7,471 334,000 0.00%
125 RAIT FINANCIAL TRUST 68,100 338,000 0.00%
126 DEPHEID 7,500 339,000 0.00%
127 CACI INTL INC CL A 4,600 340,000 0.00%
128 TETRA TECH INC NEW 14,075 342,000 0.00%
129 ZAFGEN INC COM 10,700 342,000 0.00%
130 NAVIENT 30,800 346,000 0.00%
131 BIOSCRIP INC 186,100 348,000 0.00%
132 O REILLY AUTOMOTIVE INC NEW 1,400 350,000 0.00%
133 RESOLUTE FST PRODS INC 42,740 355,000 0.00%
134 MATTEL INC 17,000 358,000 0.00%
135 ENZO BIOCHEM INC 114,420 363,000 0.00%
136 INGLES MKTS INC CL A 7,600 364,000 0.00%
137 BRAVO BRIO RESTAURANT GROUP COM 32,500 366,000 0.00%
138 TRUEBLUE INC COM 16,300 366,000 0.00%
139 HARTE-HANKS INC 106,100 375,000 0.00%
140 EVERTEC INC COM 20,825 376,000 0.00%
141 NETGEAR INC 13,000 379,000 0.00%
142 ALKERMES PLC 6,500 381,000 0.00%
143 DESTINATION MATERNITY CORP 41,300 381,000 0.00%
144 SYNOPSYS INC 8,300 383,000 0.00%
145 Francesca's Holdings Corp 31,300 383,000 0.00%
146 CONSOL ENERGY INC 39,500 387,000 0.00%
147 MASTEC INC 24,700 391,000 0.00%
148 MAGICJACK VOCALTEC LTD 44,275 394,000 0.00%
149 CHEMOURS CO 61,860 400,000 0.00%
150 LAKE SHORE GOLD CORP 480,825 402,000 0.00%
Page 3 of 15

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001596800-15-000025, filed 2015.11.13).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.