|
Size ($ in 1000's)
At 12/31/2023: $12,245,391 At 09/30/2023: $10,530,293
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 12/31/2023, below is a summary of the BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp top holdings by largest position size, as per the latest 13f filing made by BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp.
In the BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp in that top holding, then the share count change between reporting periods, and finally the BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
MICROSOFT CORP |
1,943,838 |
+128,317 |
$730,961 | MSFT | 1,943,838 | +128,317 | $730,961 | ISHARES TR (HYG) |
6,661,618 |
+1,306,300 |
$515,543 | HYG | 6,661,618 | +1,306,300 | $515,543 | AMAZON COM INC |
2,725,844 |
+483,996 |
$414,165 | AMZN | 2,725,844 | +483,996 | $414,165 | APPLE INC |
1,799,324 |
+366,453 |
$346,424 | AAPL | 1,799,324 | +366,453 | $346,424 | TORONTO DOMINION BK ONT |
4,920,839 |
-317,937 |
$317,981 | TD | 4,920,839 | -317,937 | $317,981 | NVIDIA CORPORATION |
587,579 |
+104,089 |
$290,981 | NVDA | 587,579 | +104,089 | $290,981 | UNITEDHEALTH GROUP INC |
508,248 |
-33,397 |
$267,577 | UNH | 508,248 | -33,397 | $267,577 | ROYAL BK CDA |
2,243,756 |
-159,708 |
$226,917 | RY | 2,243,756 | -159,708 | $226,917 | MASTERCARD INCORPORATED |
457,501 |
-41,071 |
$195,129 | MA | 457,501 | -41,071 | $195,129 | BANK MONTREAL QUE |
1,752,904 |
-634,086 |
$173,453 | BMO | 1,752,904 | -634,086 | $173,453 | CANADIAN IMPERIAL BK COMM TO |
3,312,012 |
+233,492 |
$159,478 | CM | 3,312,012 | +233,492 | $159,478 | META PLATFORMS INC |
420,351 |
+54,806 |
$148,787 | META | 420,351 | +54,806 | $148,787 | ALPHABET INC |
1,040,372 |
+145,104 |
$145,330 | GOOGL | 1,040,372 | +145,104 | $145,330 | CANADIAN NAT RES LTD |
2,146,559 |
+1,384,653 |
$140,637 | CNQ | 2,146,559 | +1,384,653 | $140,637 | SHOPIFY INC |
1,798,234 |
-1,604,457 |
$140,005 | SHOP | 1,798,234 | -1,604,457 | $140,005 | BOSTON SCIENTIFIC CORP |
2,387,134 |
+41,234 |
$138,000 | BSX | 2,387,134 | +41,234 | $138,000 | HONEYWELL INTL INC |
583,089 |
+367,953 |
$122,350 | HON | 583,089 | +367,953 | $122,350 | ROGERS COMMUNICATIONS INC |
2,483,464 |
+2,280,743 |
$116,264 | RCI | 2,483,464 | +2,280,743 | $116,264 | NIKE INC |
1,054,532 |
+28,863 |
$114,491 | NKE | 1,054,532 | +28,863 | $114,491 | TE CONNECTIVITY LTD |
805,621 |
+307,390 |
$113,190 | TEL | 805,621 | +307,390 | $113,190 | FIDELITY NATL INFORMATION SV |
1,835,491 |
+14,323 |
$110,258 | FIS | 1,835,491 | +14,323 | $110,258 | BOOKING HOLDINGS INC |
31,069 |
-11,189 |
$110,209 | BKNG | 31,069 | -11,189 | $110,209 | QUANTA SVCS INC |
502,919 |
+13,198 |
$108,530 | PWR | 502,919 | +13,198 | $108,530 | RAYONIER INC |
3,232,385 |
+411,586 |
$107,994 | RYN | 3,232,385 | +411,586 | $107,994 | SERVICENOW INC |
152,583 |
-20,097 |
$107,798 | NOW | 152,583 | -20,097 | $107,798 | VISA INC |
406,961 |
+31,710 |
$105,952 | V | 406,961 | +31,710 | $105,952 | SPDR SER TR (JNK) |
1,110,000 |
+336,000 |
$105,150 | JNK | 1,110,000 | +336,000 | $105,150 | BCE INC |
2,546,826 |
+1,284,116 |
$100,278 | BCE | 2,546,826 | +1,284,116 | $100,278 | SUN LIFE FINANCIAL INC. |
1,909,326 |
+86,044 |
$99,026 | SLF | 1,909,326 | +86,044 | $99,026 | LAUDER ESTEE COS INC |
665,198 |
+21,182 |
$97,285 | EL | 665,198 | +21,182 | $97,285 | WASTE CONNECTIONS INC |
645,509 |
-335,147 |
$96,392 | WCN | 645,509 | -335,147 | $96,392 | ORACLE CORP |
902,657 |
+467,382 |
$95,167 | ORCL | 902,657 | +467,382 | $95,167 | BROADCOM INC |
83,149 |
+13,533 |
$92,815 | AVGO | 83,149 | +13,533 | $92,815 | CVS HEALTH CORP |
1,159,126 |
-236,594 |
$91,525 | CVS | 1,159,126 | -236,594 | $91,525 | ALPHABET INC |
601,001 |
+119,354 |
$84,699 | GOOG | 601,001 | +119,354 | $84,699 | TESLA INC |
328,835 |
+68,982 |
$81,709 | TSLA | 328,835 | +68,982 | $81,709 | EPAM SYS INC |
266,241 |
+15,770 |
$79,164 | EPAM | 266,241 | +15,770 | $79,164 | ELECTRONIC ARTS INC |
544,813 |
-169,612 |
$74,536 | EA | 544,813 | -169,612 | $74,536 | DANAHER CORPORATION |
319,589 |
-202,815 |
$73,934 | DHR | 319,589 | -202,815 | $73,934 | GXO LOGISTICS INCORPORATED |
1,071,446 |
+915,446 |
$65,530 | GXO | 1,071,446 | +915,446 | $65,530 | INTUIT |
94,662 |
+6,799 |
$59,167 | INTU | 94,662 | +6,799 | $59,167 | GRAB HOLDINGS LIMITED |
17,252,147 |
+6,398,295 |
$58,140 | GRAB | 17,252,147 | +6,398,295 | $58,140 | BANK AMERICA CORP |
1,709,249 |
-166,474 |
$57,550 | BAC | 1,709,249 | -166,474 | $57,550 | JPMORGAN CHASE & CO |
334,533 |
+68,659 |
$56,904 | JPM | 334,533 | +68,659 | $56,904 | LAM RESEARCH CORP |
71,954 |
+7,351 |
$56,359 | LRCX | 71,954 | +7,351 | $56,359 | PDD HOLDINGS INC |
385,100 |
+147,100 |
$56,344 | PDD | 385,100 | +147,100 | $56,344 | TC ENERGY CORP |
1,440,724 |
+1,116,919 |
$56,281 | TRP | 1,440,724 | +1,116,919 | $56,281 | APPLIED MATLS INC |
342,120 |
+7,011 |
$55,447 | AMAT | 342,120 | +7,011 | $55,447 | ELI LILLY & CO |
92,886 |
+19,478 |
$54,145 | LLY | 92,886 | +19,478 | $54,145 | NEXTERA ENERGY INC |
890,684 |
-273,690 |
$54,100 | NEE | 890,684 | -273,690 | $54,100 |
See Full List: All Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
|
|