Agf Investments Inc. Buys Intuit Inc, Progressive Corp, Square Inc, Sells Dun & Bradstreet Corp, E …

Toronto, A6, based mostly Funding firm Agf Investments Inc. buys Intuit Inc, Progressive Corp, Sq. Inc, SPDR Bloomberg Barclays 1-Three Month T-Invoice, Keysight Applied sciences Inc, Synchrony Monetary, Adobe Inc, UnitedHealth Group Inc, Jacobs Engineering Group Inc, Amphenol Corp, iShares Inc MSCI Singapore, ServiceNow Inc, The Communication Companies Choose Sector SPDR Fund, Barrick Gold Corp, Rogers Communications Inc, Cigna Corp, Cree Inc, Pembina Pipeline Corp, CVS Well being Corp, Actual Property Choose Sector SPDR Fund (The), Lincoln Nationwide Corp, Teva Pharmaceutical Industries, TELUS Corp, SPDR Choose Sector Fund – Shopper Discretionary, Common Show Corp, DocuSign Inc, WPX Vitality Inc, Amgen Inc, Globant SA, LPL Monetary Holdings Inc, Tyson Meals Inc, MercadoLibre Inc, Brookfield Enterprise Companions LP, Amarin Corp PLC, Kellogg Co, Stifel Monetary Corp, MarketAxess Holdings Inc, Coca-Cola Co, Pluralsight Inc, Vanguard FTSE All World Ex US, SPDR S&P 500, Equinix Inc, 2U Inc, AstraZeneca PLC, Azul SA, McCormick Inc, Granite Development Inc, Sony Corp, Kirkland Lake Gold, Pan American Silver Corp, Natera Inc, NetEase Inc, Concho Assets Inc, Golden Star Assets, Aptiv PLC, A.O. Smith Corp, Vanguard FTSE Rising Markets, Taiwan Semiconductor Manufacturing Co, iShares iBoxx $ Excessive Yield Company Bond, iShares MSCI Pacific Ex-Japan Index Fund, The Timken Co, Worldwide Flavors & Fragrances Inc, ING Groep NV, Watts Water Applied sciences Inc, First Photo voltaic Inc, Eaton Corp PLC, Ishares MSCI World Index Fund, sells Dun & Bradstreet Corp, E*TRADE Monetary Corp, Charles Schwab Corp, Take-Two Interactive Software program Inc, Reserving Holdings Inc, Illumina Inc, Raymond James Monetary Inc, TD Ameritrade Holding Corp, CGI Inc, Corning Inc, Financial institution of Nova Scotia, Suncor Vitality Inc, SPDR Choose Sector Fund – Well being Care, Vale SA, Solar Life Monetary Inc, Teck Assets, Sarepta Therapeutics Inc, Lululemon Athletica Inc, iShares Inc MSCI Austria, Restaurant Manufacturers Worldwide Inc, Comcast Corp, Procter & Gamble Co, Greenback Normal Corp, Cisco Programs Inc, HealthEquity Inc, SPDR S&P Oil & Gasoline Explor & Product, GrubHub Inc, Danaher Corp, Oracle Corp, WisdomTree Investments Inc, InterXion Holding NV, Maxar Applied sciences Inc, Chegg Inc, Intel Corp, Atlassian Company PLC, Tyler Applied sciences Inc, The Descartes Programs Group Inc, Open Textual content Corp, Shaw Communications Inc, SiteOne Panorama Provide Inc, CAE Inc, Tahoe Assets Inc, Fortis Inc, iShares Core U.S. Combination Bond, 8×8 Inc, SPDR Bloomberg Barclays Intl Treasury Bd, iShares J.P. Morgan USD Rising Markets Bond ETF, Vanguard Whole Bond Market ETF, Golden Star Assets, SVB Monetary Group, RealPage Inc, EOG Assets Inc, B2Gold Corp, Yum China Holdings Inc, Elanco Animal Well being Inc, iShares Worldwide Treasury Bond ETF, iShares Intermediate Authorities/Credit score Bond, Anglogold Ashanti, Baidu Inc, MINDBODY Inc, Kinross Gold Corp, Cummins Inc, Sandstorm Gold, Weibo Corp, ON Semiconductor Corp, Vanguard Small-Cap, Auryn Assets Inc, Calavo Growers Inc, iShares J.P. Morgan EM Native Forex Bond, Brookfield Property Companions LP, CME Group Inc, Delphi Applied sciences PLC, Becton, Dickinson and Co, NextEra Vitality Inc throughout the Three-months ended 2019Q1, in keeping with the latest filings of the funding firm, Agf Investments Inc.. As of 2019Q1, Agf Investments Inc. owns 326 shares with a complete worth of $eight.9 billion. These are the small print of the buys and sells.

New Purchases: INTU, PGR, SQ, KEYS, XLC, GOLD, CREE, LNC, OLED, DOCU, Okay, GLOB, LPLA, MELI, TSN, SF, MKTX, PS, TWOU, MKC, NTRA, GSS, URTH, IFF, Added Positions: BIL, SYF, UNH, ADBE, JEC, APH, EWS, NOW, RCI, NFLX, PBA, CI, CVS, XLRE, TEVA, TU, XLY, WPX, NTR, XLF, AMGN, BABA, HD, CNI, AMRN, BBU, INDA, KO, PFE, PEP, KL, PAAS, SNE, DIS, SPY, AZN, VEU, AZUL, AAPL, EQIX, GVA, BRK.B, JNJ, MCD, WCN, WFC, CXO, AWK, BIP, DOOO, TWLO, PLNT, SHOP, APTV, WMT, DWDP, NTES, NEM, ECL, AOS, ACN, USB, BSX, CTRP, EBND, EPP, EWC, ALXN, TXN, EWU, VWO, HYG, INGR, AVY, JNK, EWZ, ETN, ERF, VRNT, WTS, WLK, FSLR, TRMB, TKR, TSM, WPM, ROP, PBR, HASI, PE, JLL, ING, HSIC, AMN, Diminished Positions: ILMN, WM, GLW, JPM, BNS, SU, EWJ, HON, XLV, IVV, CNQ, SLF, TECK, RY, LULU, XLK, MET, QSR, CSCO, CMCSA, PG, DG, DHR, ORCL, FLJP, XLI, NOC, CHGG, INTC, MMM, AMZN, DSGX, IDXX, MFC, OTEX, EWY, MCHI, XLB, AGCO, T, CAE, CSX, CAT, CNC, COST, ENB, SJR, SHW, TROW, FTS, TMUS, ABBV, MO, NNN, EOG, GPN, MDLZ, MSFT, ODFL, TJX, URI, BTG, V, PM, AVGO, PRI, TSLA, RP, WDAY, BND, EFG, EMB, XLP, PLD, ABMD, AEM, ALK, IVZ, ADI, AU, BCE, BIDU, BAM, CMI, GG, IBM, JBHT, TMO, TREX, WAB, WMB, AABA, HBM, AQN, VET, HII, SAND, XYL, YUMC, ELAN, EWI, NORW, THD, VCIT, XLE, ALB, BMO, BDX, CME, EMR, NEE, HDB, LMT, MDT, NVDA, PDS, SYK, TRP, WEC, AUG, MPC, SFM, SILV, ASIX, GTX, REZI, EWP, IEFA, ITE, IVE, LEMB, USMV, VB, VGK, XLU, Offered Out: DNB, ETFC, SCHW, TTWO, BKNG, RJF, AMTD, GIB, VALE, SRPT, EWO, GRUB, HQY, XOP, INXN, MAXR, WETF, TYL, TEAM, SITE, TAHO, BWX, AGG, SIVB, GS51, EGHT, IGOV, GVI, MB, ON, WB, KGC, DLPH, CVGW, BPY,

For the small print of AGF INVESTMENTS INC.’s inventory buys and sells,
go to https://www.gurufocus.com/guru/agf+investments+inc./current-portfolio/portfolio

These are the highest 5 holdings of AGF INVESTMENTS INC.Honeywell Worldwide Inc (HON) – 1,780,672 shares, Three.19% of the entire portfolio. Shares decreased by 5.69%Waste Administration Inc (WM) – 2,296,893 shares, 2.69% of the entire portfolio. Shares decreased by 14.61%Chubb Ltd (CB) – 1,551,690 shares, 2.45% of the entire portfolio. Shares decreased by zero.59%JPMorgan Chase & Co (JPM) – 2,083,725 shares, 2.38% of the entire portfolio. Shares decreased by 9.43%Amazon.com Inc (AMZN) – 117,982 shares, 2.37% of the entire portfolio. Shares decreased by 2.05%New Buy: Intuit Inc (INTU)

Agf Investments Inc. initiated holding in Intuit Inc. The acquisition costs have been between $188.52 and $261.41, with an estimated common value of $230.35. The inventory is now traded at round $244.63. The impression to a portfolio as a result of this buy was zero.86%. The holding have been 291,268 shares as of .

New Buy: Progressive Corp (PGR)

Agf Investments Inc. initiated holding in Progressive Corp. The acquisition costs have been between $58.23 and $73.61, with an estimated common value of $68.37. The inventory is now traded at round $73.50. The impression to a portfolio as a result of this buy was zero.67%. The holding have been 820,zero71 shares as of .

New Buy: Sq. Inc (SQ)

Agf Investments Inc. initiated holding in Sq. Inc. The acquisition costs have been between $52.42 and $81.24, with an estimated common value of $72.26. The inventory is now traded at round $65.99. The impression to a portfolio as a result of this buy was zero.65%. The holding have been 772,285 shares as of .

New Buy: Keysight Applied sciences Inc (KEYS)

Agf Investments Inc. initiated holding in Keysight Applied sciences Inc. The acquisition costs have been between $58.32 and $87.53, with an estimated common value of $77.Three. The inventory is now traded at round $85.83. The impression to a portfolio as a result of this buy was zero.47%. The holding have been 478,171 shares as of .

New Buy: The Communication Companies Choose Sector SPDR Fund (XLC)

Agf Investments Inc. initiated holding in The Communication Companies Choose Sector SPDR Fund. The acquisition costs have been between $41.13 and $47.74, with an estimated common value of $45.58. The inventory is now traded at round $49.11. The impression to a portfolio as a result of this buy was zero.17%. The holding have been 325,814 shares as of .

New Buy: Barrick Gold Corp (GOLD)

Agf Investments Inc. initiated holding in Barrick Gold Corp. The acquisition costs have been between $11.77 and $14.5, with an estimated common value of $12.91. The inventory is now traded at round $12.01. The impression to a portfolio as a result of this buy was zero.14%. The holding have been 935,005 shares as of .

Added: SPDR Bloomberg Barclays 1-Three Month T-Invoice (BIL)

Agf Investments Inc. added to a holding in SPDR Bloomberg Barclays 1-Three Month T-Invoice by 72.13%. The acquisition costs have been between $90.75 and $91.25, with an estimated common value of $91.01. The inventory is now traded at round $91.50. The impression to a portfolio as a result of this buy was zero.52%. The holding have been 1,207,715 shares as of .

Added: Synchrony Monetary (SYF)

Agf Investments Inc. added to a holding in Synchrony Monetary by 61.74%. The acquisition costs have been between $23.46 and $33.31, with an estimated common value of $29.94. The inventory is now traded at round $35.01. The impression to a portfolio as a result of this buy was zero.37%. The holding have been 2,664,660 shares as of .

Added: UnitedHealth Group Inc (UNH)

Agf Investments Inc. added to a holding in UnitedHealth Group Inc by 38.18%. The acquisition costs have been between $236.02 and $271.13, with an estimated common value of $255.35. The inventory is now traded at round $240.59. The impression to a portfolio as a result of this buy was zero.34%. The holding have been 439,799 shares as of .

Added: Adobe Inc (ADBE)

Agf Investments Inc. added to a holding in Adobe Inc by 72.24%. The acquisition costs have been between $215.7 and $267.69, with an estimated common value of $251.74. The inventory is now traded at round $278.75. The impression to a portfolio as a result of this buy was zero.34%. The holding have been 269,102 shares as of .

Added: Jacobs Engineering Group Inc (JEC)

Agf Investments Inc. added to a holding in Jacobs Engineering Group Inc by 50.75%. The acquisition costs have been between $57.Three and $75.19, with an estimated common value of $67.86. The inventory is now traded at round $78.66. The impression to a portfolio as a result of this buy was zero.28%. The holding have been 970,408 shares as of .

Added: Amphenol Corp (APH)

Agf Investments Inc. added to a holding in Amphenol Corp by 81.80%. The acquisition costs have been between $75.07 and $96.56, with an estimated common value of $89.24. The inventory is now traded at round $94.72. The impression to a portfolio as a result of this buy was zero.26%. The holding have been 534,859 shares as of .

Offered Out: Dun & Bradstreet Corp (DNB)

Agf Investments Inc. bought out a holding in Dun & Bradstreet Corp. The sale costs have been between $142.74 and $144.97, with an estimated common value of $144.23.

Offered Out: E*TRADE Monetary Corp (ETFC)

Agf Investments Inc. bought out a holding in E*TRADE Monetary Corp. The sale costs have been between $43.four and $50.66, with an estimated common value of $47.6.

Offered Out: Charles Schwab Corp (SCHW)

Agf Investments Inc. bought out a holding in Charles Schwab Corp. The sale costs have been between $40.72 and $47.98, with an estimated common value of $45.15.

Offered Out: Take-Two Interactive Software program Inc (TTWO)

Agf Investments Inc. bought out a holding in Take-Two Interactive Software program Inc. The sale costs have been between $84.63 and $110, with an estimated common value of $97.16.

Offered Out: Reserving Holdings Inc (BKNG)

Agf Investments Inc. bought out a holding in Reserving Holdings Inc. The sale costs have been between $1649.49 and $1935.5, with an estimated common value of $1785.18.

Offered Out: Raymond James Monetary Inc (RJF)

Agf Investments Inc. bought out a holding in Raymond James Monetary Inc. The sale costs have been between $71.54 and $84.46, with an estimated common value of $80.28.

Right here is the whole portfolio of AGF INVESTMENTS INC.. Additionally try:

1. AGF INVESTMENTS INC.’s Undervalued Shares
2. AGF INVESTMENTS INC.’s High Development Firms, and
Three. AGF INVESTMENTS INC.’s Excessive Yield shares
four. Shares that AGF INVESTMENTS INC. retains shopping for

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