Connor Clark & Lunn Investment Management Boosts Procter & Gamble Stake

Investment firm increases holdings in consumer goods giant by over 290% in Q3

Published on Mar. 12, 2026

Connor Clark & Lunn Investment Management Ltd. significantly increased its stake in Procter & Gamble Company (The) (NYSE:PG) during the third quarter of 2026, purchasing an additional 343,572 shares to bring its total holdings to 461,570 shares worth $70.92 million.

Why it matters

Procter & Gamble is one of the world's largest consumer goods companies, with a diverse portfolio of household and personal care brands. The increase in holdings by Connor Clark & Lunn, a major Canadian investment management firm, suggests confidence in P&G's long-term growth potential.

The details

According to a regulatory filing, Connor Clark & Lunn Investment Management increased its stake in Procter & Gamble by 291.2% during the third quarter, adding 343,572 shares to bring its total position to 461,570 shares. This investment was valued at $70.92 million at the end of the quarter. The filing also showed that several other major institutional investors, including Vanguard Group and Invesco Ltd., have substantial holdings in Procter & Gamble.

  • Connor Clark & Lunn Investment Management increased its Procter & Gamble stake during the 3rd quarter of 2026.

The players

Connor Clark & Lunn Investment Management Ltd.

A major Canadian investment management firm that significantly increased its stake in Procter & Gamble during the third quarter of 2026.

Procter & Gamble Company (The)

A multinational consumer goods company headquartered in Cincinnati, Ohio that produces a broad portfolio of household and personal care products.

Vanguard Group Inc.

A large institutional investor that holds a substantial position in Procter & Gamble.

Invesco Ltd.

Another major institutional investor with a significant stake in Procter & Gamble.

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The takeaway

The substantial increase in Connor Clark & Lunn's Procter & Gamble holdings suggests the investment firm sees strong long-term growth potential in the consumer goods giant, which continues to attract interest from major institutional investors.