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Notable Holders of SHAW COMMUNICATIONS, Inc. (SJR)

  |   Expand Research on SJR   |   * Does Not Fully Represent All Holders
Fund Title Shares % Owned Source
IG INVESTMENT MANAGEMENT LTD CL B CONV 42,152,425 9.66% 13F
ROYAL BANK OF CANADA \ CL B CONV 41,257,052 9.46% 13F
BMO FINANCIAL CORP CL B CONV 8,261,660 1.89% 13F
DAVIDSON KEMPNER PARTNERS CL B CONV 5,466,495 1.25% 13F
Scotia Asset Management L.P. CL B CONV 2,073,620 0.48% 13F
GLAZER CAPITAL, LLC CL B CONV 2,000,000 0.46% 13F
CONNOR CLARK & LUNN INVESTMENT MANAGEMENT LTD CL B CONV 1,974,100 0.45% 13F
Highstreet Asset Management Inc. Common Stock 1,348,700 0.31% 13F
Emerald Acquisition Ltd. Common Stocks 1,059,234 0.24% 13F
MANAGED ACCOUNT ADVISORS LLC CL B CONV 1,044,006 0.24% 13F
RUSSELL FRANK CO/ Common Stocks 976,619 0.22% 13F
PARAMETRIC PORTFOLIO ASSOCIATES Common Stock 681,958 0.16% 13F
Invesco Ltd. CL B CONV 589,885 0.14% 13F
VIRGINIA RETIREMENT SYSTEM CL B CONV 560,800 0.13% 13F
Numeric Investors LLC CL B CONV 431,700 0.10% 13F
Aperio Group, LLC CL B CONV 407,018 0.09% 13F
Greystone Managed Investments Inc. CL B CONV 326,450 0.07% 13F
CITY OF EDINBURGH COUNCIL AS ADMINISTRATOR OF THE LOTHIAN PENSION FUND CL B CONV 289,988 0.07% 13F
HABER TRILIX ADVISORS, LP CL B CONV 282,340 0.06% 13F
NATCAN INVESTMENT MANAGEMENT INC CL B CONV 256,951 0.06% 13F
PIONEER INVESTMENT MANAGEMENT INC CL B CONV 256,261 0.06% 13F
Marshall Wace North America, L.P. COMMON STOCK 235,573 0.05% 13F
NN Investment Partners Holdings N.V. CL B CONV 213,088 0.05% 13F
PICTET ASSET MANAGEMENT LTD CL B CONV 177,280 0.04% 13F
TOBAM COM 174,900 0.04% 13F
BT Investment Management Ltd CL B CONV 153,974 0.04% 13F
Counsel Portfolio Services Inc. CL B CONV 126,000 0.03% 13F
SARISSA CONSULTING LLC CL B CONV 121,800 0.03% 13F
BAIRD ROBERT W & CO INC /WI/ COMMON 98,679 0.02% 13F
Zimmer Partners, LP CL B CONV 80,500 0.02% 13F
F&C Asset Management plc COMMON STOCK 75,100 0.02% 13F
CAPSTONE ASSET MANAGEMENT CO COM 68,044 0.02% 13F
UBS AG CL B CONV 59,735 0.01% 13F
Kernodle & Katon Asset Management Group, LLC CL B CONV 58,576 0.01% 13F
Delta Lloyd Asset Management N.V. CL B CONV 50,997 0.01% 13F
DELTA LLOYD NV CL B CONV 50,997 0.01% 13F
KCG Holdings, Inc. CL B CONV 45,955 0.01% 13F