Holdings Channel
EntityShares/Amount
Change
Position Value
Change
FI +262,221+$34,833
XP +510,000+$13,296
RBC +36,500+$10,398
ENSG +59,038+$6,625
GWRE +42,000+$4,580
VERX +153,000+$4,122
BCPC +24,400+$3,630
VLTO +26,929+$2,215
VRT +39,422+$1,893
TNC +19,082+$1,769
EntityShares/Amount
Change
Position Value
Change
FISV -248,175-$28,034
OTEX -207,355-$7,277
ATVI -71,480-$6,693
VMW -21,517-$3,582
SGEN -12,786-$2,713
HZNP -19,771-$2,287
RE -3,899-$1,449
PKI -11,396-$1,262
MNSO -38,600-$1,000
ARMK -22,427-$778
EntityShares/Amount
Change
Position Value
Change
GRAB +6,398,295+$19,717
AQN +3,445,000+$21,740
RCI +2,280,743+$108,481
CNQ +1,384,653+$91,366
HYG +1,306,300+$120,749
BCE +1,284,116+$52,078
TRP +1,116,919+$45,146
GXO +915,446+$56,381
BEKE +814,600+$13,385
AMZN +483,996+$129,181
EntityShares/Amount
Change
Position Value
Change
BEP -2,978,913-$60,364
BIP -1,920,602-$53,784
CP -1,792,819-$131,234
SHOP -1,604,457-$45,720
PBA -1,283,212-$35,009
CVE -1,177,984-$24,610
EWJ -1,168,801-$67,620
QSR -969,091-$59,850
CNI -693,712-$71,088
Size ($ 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

All Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
As of  12/31/2023, we find all stocks held by BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp to be as follows, presented in the table below with each row detailing each BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp position, ordered by largest to smallest position size. The all-stocks-held-by-BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 1,943,838 +128,317 $730,961
     MSFT1,943,838+128,317$730,961
ISHARES TR (HYG) 6,661,618 +1,306,300 $515,543
     HYG6,661,618+1,306,300$515,543
AMAZON COM INC 2,725,844 +483,996 $414,165
     AMZN2,725,844+483,996$414,165
APPLE INC 1,799,324 +366,453 $346,424
     AAPL1,799,324+366,453$346,424
TORONTO DOMINION BK ONT 4,920,839 -317,937 $317,981
     TD4,920,839-317,937$317,981
NVIDIA CORPORATION 587,579 +104,089 $290,981
     NVDA587,579+104,089$290,981
UNITEDHEALTH GROUP INC 508,248 -33,397 $267,577
     UNH508,248-33,397$267,577
ROYAL BK CDA 2,243,756 -159,708 $226,917
     RY2,243,756-159,708$226,917
MASTERCARD INCORPORATED 457,501 -41,071 $195,129
     MA457,501-41,071$195,129
BANK MONTREAL QUE 1,752,904 -634,086 $173,453
     BMO1,752,904-634,086$173,453
CANADIAN IMPERIAL BK COMM TO 3,312,012 +233,492 $159,478
     CM3,312,012+233,492$159,478
META PLATFORMS INC 420,351 +54,806 $148,787
     META420,351+54,806$148,787
ALPHABET INC 1,040,372 +145,104 $145,330
     GOOGL1,040,372+145,104$145,330
CANADIAN NAT RES LTD 2,146,559 +1,384,653 $140,637
     CNQ2,146,559+1,384,653$140,637
SHOPIFY INC 1,798,234 -1,604,457 $140,005
     SHOP1,798,234-1,604,457$140,005
BOSTON SCIENTIFIC CORP 2,387,134 +41,234 $138,000
     BSX2,387,134+41,234$138,000
HONEYWELL INTL INC 583,089 +367,953 $122,350
     HON583,089+367,953$122,350
ROGERS COMMUNICATIONS INC 2,483,464 +2,280,743 $116,264
     RCI2,483,464+2,280,743$116,264
NIKE INC 1,054,532 +28,863 $114,491
     NKE1,054,532+28,863$114,491
TE CONNECTIVITY LTD 805,621 +307,390 $113,190
     TEL805,621+307,390$113,190
FIDELITY NATL INFORMATION SV 1,835,491 +14,323 $110,258
     FIS1,835,491+14,323$110,258
BOOKING HOLDINGS INC 31,069 -11,189 $110,209
     BKNG31,069-11,189$110,209
QUANTA SVCS INC 502,919 +13,198 $108,530
     PWR502,919+13,198$108,530
RAYONIER INC 3,232,385 +411,586 $107,994
     RYN3,232,385+411,586$107,994
SERVICENOW INC 152,583 -20,097 $107,798
     NOW152,583-20,097$107,798
VISA INC 406,961 +31,710 $105,952
     V406,961+31,710$105,952
SPDR SER TR (JNK) 1,110,000 +336,000 $105,150
     JNK1,110,000+336,000$105,150
BCE INC 2,546,826 +1,284,116 $100,278
     BCE2,546,826+1,284,116$100,278
SUN LIFE FINANCIAL INC. 1,909,326 +86,044 $99,026
     SLF1,909,326+86,044$99,026
LAUDER ESTEE COS INC 665,198 +21,182 $97,285
     EL665,198+21,182$97,285
WASTE CONNECTIONS INC 645,509 -335,147 $96,392
     WCN645,509-335,147$96,392
ORACLE CORP 902,657 +467,382 $95,167
     ORCL902,657+467,382$95,167
BROADCOM INC 83,149 +13,533 $92,815
     AVGO83,149+13,533$92,815
CVS HEALTH CORP 1,159,126 -236,594 $91,525
     CVS1,159,126-236,594$91,525
ALPHABET INC 601,001 +119,354 $84,699
     GOOG601,001+119,354$84,699
TESLA INC 328,835 +68,982 $81,709
     TSLA328,835+68,982$81,709
EPAM SYS INC 266,241 +15,770 $79,164
     EPAM266,241+15,770$79,164
ELECTRONIC ARTS INC 544,813 -169,612 $74,536
     EA544,813-169,612$74,536
DANAHER CORPORATION 319,589 -202,815 $73,934
     DHR319,589-202,815$73,934
GXO LOGISTICS INCORPORATED 1,071,446 +915,446 $65,530
     GXO1,071,446+915,446$65,530
INTUIT 94,662 +6,799 $59,167
     INTU94,662+6,799$59,167
GRAB HOLDINGS LIMITED 17,252,147 +6,398,295 $58,140
     GRAB17,252,147+6,398,295$58,140
BANK AMERICA CORP 1,709,249 -166,474 $57,550
     BAC1,709,249-166,474$57,550
JPMORGAN CHASE & CO 334,533 +68,659 $56,904
     JPM334,533+68,659$56,904
LAM RESEARCH CORP 71,954 +7,351 $56,359
     LRCX71,954+7,351$56,359
PDD HOLDINGS INC 385,100 +147,100 $56,344
     PDD385,100+147,100$56,344
TC ENERGY CORP 1,440,724 +1,116,919 $56,281
     TRP1,440,724+1,116,919$56,281
APPLIED MATLS INC 342,120 +7,011 $55,447
     AMAT342,120+7,011$55,447
ELI LILLY & CO 92,886 +19,478 $54,145
     LLY92,886+19,478$54,145
NEXTERA ENERGY INC 890,684 -273,690 $54,100
     NEE890,684-273,690$54,100
BERKSHIRE HATHAWAY INC DEL      $53,705
     BRK.B150,577+32,669$53,705
UNION PAC CORP 206,653 -2,594 $50,758
     UNP206,653-2,594$50,758
S&P GLOBAL INC 113,459 -8,366 $49,981
     SPGI113,459-8,366$49,981
AGNICO EAGLE MINES LTD 907,254 -641,206 $49,745
     AEM907,254-641,206$49,745
WHEATON PRECIOUS METALS CORP 1,005,885 -66,399 $49,627
     WPM1,005,885-66,399$49,627
T MOBILE US INC 305,357 +11,854 $48,958
     TMUS305,357+11,854$48,958
LITHIA MTRS INC 148,000 +5,444 $48,733
     LAD148,000+5,444$48,733
SCHWAB CHARLES CORP 699,225 +120,489 $48,107
     SCHW699,225+120,489$48,107
ISHARES INC (EWJ) 739,490 -1,168,801 $47,431
     EWJ739,490-1,168,801$47,431
FERRARI N V 137,048 -81,394 $46,181
     RACE137,048-81,394$46,181
EXXON MOBIL CORP 461,174 +93,402 $46,108
     XOM461,174+93,402$46,108
FERGUSON PLC NEW 232,178 +1,272 $44,827
     FERG232,178+1,272$44,827
NUTRIEN LTD 775,567 +97,699 $43,695
     NTR775,567+97,699$43,695
JOHNSON & JOHNSON 277,196 +58,099 $43,448
     JNJ277,196+58,099$43,448
FRANCO NEV CORP 380,586 -154,135 $42,158
     FNV380,586-154,135$42,158
TRANE TECHNOLOGIES PLC 170,001 -30,403 $41,463
     TT170,001-30,403$41,463
STERIS PLC 185,368 +22,483 $40,753
     STE185,368+22,483$40,753
CISCO SYS INC 805,613 +95,474 $40,700
     CSCO805,613+95,474$40,700
HOME DEPOT INC 115,120 +23,631 $39,895
     HD115,120+23,631$39,895
PROCTER AND GAMBLE CO 271,312 +56,841 $39,758
     PG271,312+56,841$39,758
UNITED RENTALS INC 66,861 -12,896 $38,339
     URI66,861-12,896$38,339
BROOKFIELD INFRAST PARTNERS 1,186,154 -1,920,602 $37,384
     BIP1,186,154-1,920,602$37,384
L3HARRIS TECHNOLOGIES INC 167,274 +4,537 $35,231
     LHX167,274+4,537$35,231
AIR PRODS & CHEMS INC 127,572 -19,222 $34,929
     APD127,572-19,222$34,929
FISERV INC 262,221 +262,221 $34,833
     FI262,221+262,221$34,833
AGILENT TECHNOLOGIES INC 248,691 +191,341 $34,576
     A248,691+191,341$34,576
COSTCO WHSL CORP NEW 50,965 +10,639 $33,641
     COST50,965+10,639$33,641
CANADIAN PACIFIC KANSAS CITY 421,274 -1,792,819 $33,333
     CP421,274-1,792,819$33,333
SPDR SER TR (XBI) 359,000 +44,000 $32,055
     XBI359,000+44,000$32,055
MERCK & CO INC 292,098 +61,191 $31,845
     MRK292,098+61,191$31,845
RESTAURANT BRANDS INTL INC 405,379 -969,091 $31,675
     QSR405,379-969,091$31,675
OSISKO GOLD ROYALTIES LTD 2,207,960 +111,298 $31,512
     OR2,207,960+111,298$31,512
ABBVIE INC 203,177 +42,636 $31,486
     ABBV203,177+42,636$31,486
ADOBE INC 52,411 +10,936 $31,268
     ADBE52,411+10,936$31,268
CHEVRON CORP NEW 208,853 +43,754 $31,153
     CVX208,853+43,754$31,153
DISNEY WALT CO 334,830 +44,490 $30,232
     DIS334,830+44,490$30,232
SALESFORCE INC 112,007 +23,379 $29,474
     CRM112,007+23,379$29,474
CANADIAN NATL RY CO 231,628 -693,712 $29,115
     CNI231,628-693,712$29,115
COCA COLA CO 472,920 +99,066 $27,869
     KO472,920+99,066$27,869
WASTE MGMT INC DEL 154,424 +9,643 $27,657
     WM154,424+9,643$27,657
ADVANCED MICRO DEVICES INC 185,981 +39,549 $27,415
     AMD185,981+39,549$27,415
ZEBRA TECHNOLOGIES CORPORATI 99,808 +1,229 $27,281
     ZBRA99,808+1,229$27,281
PEMBINA PIPELINE CORP 788,512 -1,283,212 $27,280
     PBA788,512-1,283,212$27,280
PEPSICO INC 158,262 +32,995 $26,879
     PEP158,262+32,995$26,879
WALMART INC 170,406 +35,639 $26,865
     WMT170,406+35,639$26,865
AKAMAI TECHNOLOGIES INC 221,728 +3,622 $26,242
     AKAM221,728+3,622$26,242
AUTOZONE INC 10,053 +403 $25,993
     AZO10,053+403$25,993
CHENIERE ENERGY INC 150,196 +22,607 $25,640
     LNG150,196+22,607$25,640
ACCENTURE PLC IRELAND 72,246 +14,848 $25,352
     ACN72,246+14,848$25,352
BROOKFIELD RENEWABLE PARTNER 957,650 -2,978,913 $25,159
     BEP957,650-2,978,913$25,159
TECK RESOURCES LTD 594,974 +365,289 $25,151
     TECK594,974+365,289$25,151
MCDONALDS CORP 83,893 +17,456 $24,875
     MCD83,893+17,456$24,875
NETFLIX INC 51,013 +10,591 $24,837
     NFLX51,013+10,591$24,837
HOWMET AEROSPACE INC 453,323 -222,266 $24,534
     HWM453,323-222,266$24,534
INTEL CORP 482,087 +102,808 $24,225
     INTC482,087+102,808$24,225
PARKER HANNIFIN CORP 52,085 -1,880 $23,996
     PH52,085-1,880$23,996
THERMO FISHER SCIENTIFIC INC 44,428 +9,320 $23,582
     TMO44,428+9,320$23,582
LINDE PLC 56,171 +11,653 $23,070
     LIN56,171+11,653$23,070
ABBOTT LABS 199,768 +41,644 $21,988
     ABT199,768+41,644$21,988
ALGONQUIN PWR UTILS CORP 3,455,085 +3,445,000 $21,800
     AQN3,455,085+3,445,000$21,800
COLLIERS INTL GROUP INC 168,030 +1,863 $21,254
     CIGI168,030+1,863$21,254
SNOWFLAKE INC 104,567 -1,928 $20,809
     SNOW104,567-1,928$20,809
COMCAST CORP NEW 473,798 +95,575 $20,776
     CMCSA473,798+95,575$20,776
WELLS FARGO CO NEW 421,194 +87,681 $20,731
     WFC421,194+87,681$20,731
TRIPLE FLAG PRECIOUS METAL 1,507,758 +240,458 $20,073
     TFPM1,507,758+240,458$20,073
GALLAGHER ARTHUR J & CO 83,305 -40,189 $18,734
     AJG83,305-40,189$18,734
PFIZER INC 649,936 +136,587 $18,712
     PFE649,936+136,587$18,712
ENERPLUS CORP 1,219,862 -319,420 $18,699
     ERF1,219,862-319,420$18,699
QUALCOMM INC 128,464 +27,165 $18,580
     QCOM128,464+27,165$18,580
SANDSTORM GOLD LTD 3,694,880 +108,530 $18,572
     SAND3,694,880+108,530$18,572
VERIZON COMMUNICATIONS INC 483,926 +101,678 $18,244
     VZ483,926+101,678$18,244
BROOKFIELD ASSET MANAGMT LTD 452,628 +356,777 $18,174
     BAM452,628+356,777$18,174
TEXAS INSTRS INC 104,524 +21,998 $17,817
     TXN104,524+21,998$17,817
VIPSHOP HLDGS LTD 1,000,100 +421,500 $17,762
     VIPS1,000,100+421,500$17,762
AMGEN INC 61,575 +12,988 $17,735
     AMGN61,575+12,988$17,735
PALO ALTO NETWORKS INC 59,258 +7,711 $17,486
     PANW59,258+7,711$17,486
KE HLDGS INC 1,075,550 +814,600 $17,435
     BEKE1,075,550+814,600$17,435
SPDR SER TR (XRT) 240,134 +172,134 $17,366
     XRT240,134+172,134$17,366
CATERPILLAR INC 58,728 +11,871 $17,364
     CAT58,728+11,871$17,364
BOEING CO 65,967 +14,005 $17,195
     BA65,967+14,005$17,195
INTERNATIONAL BUSINESS MACHS 104,867 +22,295 $17,151
     IBM104,867+22,295$17,151
PHILIP MORRIS INTL INC 178,701 +37,556 $16,812
     PM178,701+37,556$16,812
CONOCOPHILLIPS 137,855 +27,822 $16,001
     COP137,855+27,822$16,001
GENERAL ELECTRIC CO 125,283 +26,271 $15,990
     GE125,283+26,271$15,990
DATADOG INC 131,541 -10,817 $15,966
     DDOG131,541-10,817$15,966
SUNCOR ENERGY INC NEW 469,605 -38,459 $15,045
     SU469,605-38,459$15,045
LOWES COS INC 66,433 +13,151 $14,785
     LOW66,433+13,151$14,785
GOLDMAN SACHS GROUP INC 37,953 +7,704 $14,641
     GS37,953+7,704$14,641
PROSPERITY BANCSHARES INC (PB) 210,000 UNCH $14,223
     PB210,000UNCH$14,223
WEBSTER FINL CORP 280,000 -40,672 $14,213
     WBS280,000-40,672$14,213
PROLOGIS INC. 106,355 +22,382 $14,177
     PLD106,355+22,382$14,177
RTX CORPORATION 167,559 +34,700 $14,098
     RTX167,559+34,700$14,098
BLACKROCK INC 17,185 +3,567 $13,951
     BLK17,185+3,567$13,951
AT&T INC 822,913 +172,917 $13,808
     T822,913+172,917$13,808
INTUITIVE SURGICAL INC 40,444 +8,584 $13,644
     ISRG40,444+8,584$13,644
AMERICAN EXPRESS CO 72,058 +14,615 $13,499
     AXP72,058+14,615$13,499
MORGAN STANLEY 143,050 +29,156 $13,339
     MS143,050+29,156$13,339
XP INC 510,000 +510,000 $13,296
     XP510,000+510,000$13,296
UNITED PARCEL SERVICE INC 83,259 +17,360 $13,091
     UPS83,259+17,360$13,091
UBER TECHNOLOGIES INC 211,729 +46,115 $13,036
     UBER211,729+46,115$13,036
ELEVANCE HEALTH INC 27,127 +5,574 $12,792
     ELV27,127+5,574$12,792
STARBUCKS CORP 131,847 +27,615 $12,659
     SBUX131,847+27,615$12,659
MEDTRONIC PLC 153,171 +32,193 $12,618
     MDT153,171+32,193$12,618
DEERE & CO 31,495 +6,166 $12,594
     DE31,495+6,166$12,594
TJX COS INC NEW 131,691 +27,133 $12,354
     TJX131,691+27,133$12,354
BRISTOL MYERS SQUIBB CO 240,472 +49,446 $12,339
     BMY240,472+49,446$12,339
VERTEX PHARMACEUTICALS INC 29,711 +6,290 $12,089
     VRTX29,711+6,290$12,089
ISHARES TR (IWM) 60,190 -76,843 $12,081
     IWM60,190-76,843$12,081
DYNATRACE INC 220,292 -32,365 $12,048
     DT220,292-32,365$12,048
CHARLES RIV LABS INTL INC 50,900 +1,267 $12,033
     CRL50,900+1,267$12,033
STRYKER CORPORATION 39,344 +8,281 $11,782
     SYK39,344+8,281$11,782
LOCKHEED MARTIN CORP 25,703 +4,980 $11,650
     LMT25,703+4,980$11,650
GILEAD SCIENCES INC 143,429 +30,021 $11,619
     GILD143,429+30,021$11,619
AMERICAN TOWER CORP NEW 53,663 +11,289 $11,585
     AMT53,663+11,289$11,585
WESTERN ALLIANCE BANCORP 176,000 +56,000 $11,579
     WAL176,000+56,000$11,579
CITIGROUP INC 221,697 +44,665 $11,404
     C221,697+44,665$11,404
ANALOG DEVICES INC 57,365 +11,766 $11,390
     ADI57,365+11,766$11,390
MONDELEZ INTL INC 156,617 +32,794 $11,344
     MDLZ156,617+32,794$11,344
PROS HOLDINGS INC 290,110 -9,890 $11,253
     PRO290,110-9,890$11,253
EATON CORP PLC 45,927 +9,680 $11,060
     ETN45,927+9,680$11,060
AUTOMATIC DATA PROCESSING IN 47,429 +9,838 $11,050
     ADP47,429+9,838$11,050
REGENERON PHARMACEUTICALS 12,288 +2,478 $10,792
     REGN12,288+2,478$10,792
MICRON TECHNOLOGY INC 126,391 +26,784 $10,786
     MU126,391+26,784$10,786
MARSH & MCLENNAN COS INC 56,863 +11,880 $10,774
     MMC56,863+11,880$10,774
PROGRESSIVE CORP 67,383 +14,165 $10,733
     PGR67,383+14,165$10,733
BLACKSTONE INC 81,706 +17,502 $10,697
     BX81,706+17,502$10,697
CHUBB LIMITED 47,283 +9,621 $10,686
     CB47,283+9,621$10,686
AZEK CO INC 275,000 UNCH $10,519
     AZEK275,000UNCH$10,519
ZOETIS INC 52,990 +10,977 $10,459
     ZTS52,990+10,977$10,459
CONSTRUCTION PARTNERS INC 240,000 -12,000 $10,445
     ROAD240,000-12,000$10,445
VERMILION ENERGY INC 863,614 +233,519 $10,409
     VET863,614+233,519$10,409
RBC BEARINGS INC 36,500 +36,500 $10,398
     RBC36,500+36,500$10,398
THE CIGNA GROUP 34,070 +7,187 $10,202
     CI34,070+7,187$10,202
FEDERAL SIGNAL CORP 132,000 -28,000 $10,130
     FSS132,000-28,000$10,130
EASTGROUP PPTYS INC 54,000 +6,000 $9,911
     EGP54,000+6,000$9,911
BOOZ ALLEN HAMILTON HLDG COR 75,080 +112 $9,603
     BAH75,080+112$9,603
CASEYS GEN STORES INC 34,000 -2,000 $9,341
     CASY34,000-2,000$9,341
KLA CORP 15,692 +3,215 $9,122
     KLAC15,692+3,215$9,122
ILLINOIS TOOL WKS INC 34,807 +7,153 $9,117
     ITW34,807+7,153$9,117
BENTLEY SYS INC 174,476 -5,758 $9,104
     BSY174,476-5,758$9,104
PERFORMANCE FOOD GROUP CO 131,000 +24,000 $9,059
     PFGC131,000+24,000$9,059
SYNOPSYS INC 17,507 +3,673 $9,015
     SNPS17,507+3,673$9,015
BROWN & BROWN INC 126,738 +2,956 $9,012
     BRO126,738+2,956$9,012
KADANT INC 32,000 -5,100 $8,970
     KAI32,000-5,100$8,970
LAMB WESTON HLDGS INC 82,675 -960 $8,936
     LW82,675-960$8,936
TFI INTL INC 65,518 -3,245 $8,912
     TFII65,518-3,245$8,912
SOUTHERN CO 125,547 +26,398 $8,803
     SO125,547+26,398$8,803
SHERWIN WILLIAMS CO 28,125 +5,834 $8,772
     SHW28,125+5,834$8,772
CME GROUP INC 41,410 +8,706 $8,721
     CME41,410+8,706$8,721
EQUINIX INC 10,770 +2,265 $8,674
     EQIX10,770+2,265$8,674
CACTUS INC 191,000 UNCH $8,671
     WHD191,000UNCH$8,671
REPLIGEN CORP 48,180 +1,319 $8,663
     RGEN48,180+1,319$8,663
FIRSTSERVICE CORP NEW 53,312 -40,648 $8,637
     FSV53,312-40,648$8,637
DUKE ENERGY CORP NEW 88,716 +18,633 $8,609
     DUK88,716+18,633$8,609
SPDR SER TR (KRE) 163,881 +34,881 $8,592
     KRE163,881+34,881$8,592
CADENCE DESIGN SYSTEM INC 31,284 +6,471 $8,521
     CDNS31,284+6,471$8,521
SCHLUMBERGER LTD 163,611 +34,013 $8,514
     SLB163,611+34,013$8,514
INTER PARFUMS INC 59,000 +5,100 $8,497
     IPAR59,000+5,100$8,497
SYNOVUS FINL CORP 225,000 -25,000 $8,471
     SNV225,000-25,000$8,471
INTERCONTINENTAL EXCHANGE IN (ICE) 65,880 +13,858 $8,461
     ICE65,880+13,858$8,461
RB GLOBAL INC 124,000 -83,860 $8,294
     RBA124,000-83,860$8,294
ALTRIA GROUP INC 204,291 +41,962 $8,241
     MO204,291+41,962$8,241
MAGNOLIA OIL & GAS CORP 385,000 -105,000 $8,197
     MGY385,000-105,000$8,197
MERCADOLIBRE INC 5,189 +1,078 $8,155
     MELI5,189+1,078$8,155
BECTON DICKINSON & CO 33,395 +7,572 $8,143
     BDX33,395+7,572$8,143
EOG RES INC 67,024 +13,822 $8,107
     EOG67,024+13,822$8,107
BOOT BARN HLDGS INC 105,000 +15,000 $8,060
     BOOT105,000+15,000$8,060
MATADOR RES CO 141,000 -43,000 $8,017
     MTDR141,000-43,000$8,017
CSX CORP 230,952 +44,716 $8,007
     CSX230,952+44,716$8,007
NORTHROP GRUMMAN CORP 16,545 +3,417 $7,745
     NOC16,545+3,417$7,745
US BANCORP DEL 176,478 +37,114 $7,638
     USB176,478+37,114$7,638
TARGET CORP 53,140 +11,179 $7,568
     TGT53,140+11,179$7,568
MOODYS CORP 19,011 +3,995 $7,425
     MCO19,011+3,995$7,425
PAYPAL HLDGS INC 120,089 +23,712 $7,375
     PYPL120,089+23,712$7,375
STANTEC INC 90,461 -79,525 $7,263
     STN90,461-79,525$7,263
CHIPOTLE MEXICAN GRILL INC 3,175 +666 $7,261
     CMG3,175+666$7,261
INTEGRAL AD SCIENCE HLDNG CO 502,500 +42,500 $7,231
     IAS502,500+42,500$7,231
COLGATE PALMOLIVE CO 90,397 +18,845 $7,206
     CL90,397+18,845$7,206
MCKESSON CORP 15,528 +3,204 $7,189
     MCK15,528+3,204$7,189
ARISTA NETWORKS INC 30,289 +6,459 $7,133
     ANET30,289+6,459$7,133
PNC FINL SVCS GROUP INC 45,855 +9,570 $7,101
     PNC45,855+9,570$7,101
FREEPORT MCMORAN INC 165,050 +34,737 $7,026
     FCX165,050+34,737$7,026
YUM CHINA HLDGS INC 164,150 -1,700 $6,965
     YUMC164,150-1,700$6,965
FEDEX CORP 27,496 +5,787 $6,956
     FDX27,496+5,787$6,956
3M CO 63,533 +13,370 $6,945
     MMM63,533+13,370$6,945
GENERAL DYNAMICS CORP 26,715 +5,496 $6,937
     GD26,715+5,496$6,937
MSA SAFETY INC 41,000 -15,500 $6,922
     MSA41,000-15,500$6,922
HOULIHAN LOKEY INC 57,000 +27,000 $6,835
     HLI57,000+27,000$6,835
SIMPSON MFG INC 34,500 -7,000 $6,830
     SSD34,500-7,000$6,830
MARATHON PETE CORP 46,026 +7,447 $6,828
     MPC46,026+7,447$6,828
PHILLIPS 66 51,258 +9,550 $6,824
     PSX51,258+9,550$6,824
NXP SEMICONDUCTORS N V 29,676 +6,062 $6,816
     NXPI29,676+6,062$6,816
AMPHENOL CORP NEW 68,651 +14,518 $6,805
     APH68,651+14,518$6,805
AON PLC 23,351 +4,784 $6,796
     AON23,351+4,784$6,796
LULULEMON ATHLETICA INC 13,279 +2,744 $6,789
     LULU13,279+2,744$6,789
ADVANCED ENERGY INDS 61,500 UNCH $6,699
     AEIS61,500UNCH$6,699
ROPER TECHNOLOGIES INC 12,286 +2,596 $6,699
     ROP12,286+2,596$6,699
AIRBNB INC 49,077 +11,554 $6,681
     ABNB49,077+11,554$6,681
CROWDSTRIKE HLDGS INC 26,021 +5,647 $6,644
     CRWD26,021+5,647$6,644
ENSIGN GROUP INC 59,038 +59,038 $6,625
     ENSG59,038+59,038$6,625
OREILLY AUTOMOTIVE INC 6,937 +1,400 $6,591
     ORLY6,937+1,400$6,591
MARRIOTT INTL INC NEW 29,182 +5,731 $6,581
     MAR29,182+5,731$6,581
WORKDAY INC 23,829 +5,099 $6,578
     WDAY23,829+5,099$6,578
HUMANA INC 14,262 +2,902 $6,529
     HUM14,262+2,902$6,529
TRANSDIGM GROUP INC 6,351 +1,356 $6,425
     TDG6,351+1,356$6,425
EMERSON ELEC CO 65,791 +13,833 $6,403
     EMR65,791+13,833$6,403
CINTAS CORP 10,553 +2,229 $6,360
     CTAS10,553+2,229$6,360
HCA HEALTHCARE INC 23,483 +4,715 $6,356
     HCA23,483+4,715$6,356
NORFOLK SOUTHN CORP 26,135 +5,427 $6,178
     NSC26,135+5,427$6,178
BRUNSWICK CORP 63,000 +7,000 $6,095
     BC63,000+7,000$6,095
PIONEER NAT RES CO 26,859 +5,610 $6,040
     PXD26,859+5,610$6,040
MOTOROLA SOLUTIONS INC 19,224 +3,974 $6,019
     MSI19,224+3,974$6,019
AUTODESK INC 24,610 +5,154 $5,992
     ADSK24,610+5,154$5,992
MARVELL TECHNOLOGY INC 99,307 +21,104 $5,989
     MRVL99,307+21,104$5,989
PACCAR INC 60,176 +12,657 $5,876
     PCAR60,176+12,657$5,876
ECOLAB INC 29,531 +6,226 $5,857
     ECL29,531+6,226$5,857
DESCARTES SYS GROUP INC 69,324 +22,134 $5,825
     DSGX69,324+22,134$5,825
CAPITAL ONE FINL CORP 43,913 +9,206 $5,758
     COF43,913+9,206$5,758
CROWN CASTLE INC 49,929 +10,499 $5,751
     CCI49,929+10,499$5,751
GENERAL MTRS CO 158,407 +32,156 $5,690
     GM158,407+32,156$5,690
TRUIST FINL CORP 153,313 +32,199 $5,660
     TFC153,313+32,199$5,660
MICROCHIP TECHNOLOGY INC. 62,670 +13,094 $5,652
     MCHP62,670+13,094$5,652
GFL ENVIRONMENTAL INC 163,524 -2,503 $5,641
     GFL163,524-2,503$5,641
PUBLIC STORAGE 18,219 +3,833 $5,557
     PSA18,219+3,833$5,557
AMERICAN INTL GROUP INC 81,948 +16,121 $5,552
     AIG81,948+16,121$5,552
DEXCOM INC 44,657 +9,414 $5,541
     DXCM44,657+9,414$5,541
CARRIER GLOBAL CORPORATION 96,428 +20,490 $5,540
     CARR96,428+20,490$5,540
FORD MTR CO DEL 452,520 +94,949 $5,516
     F452,520+94,949$5,516
KKR & CO INC 66,187 +11,263 $5,484
     KKR66,187+11,263$5,484
HILTON WORLDWIDE HLDGS INC 30,103 +6,023 $5,481
     HLT30,103+6,023$5,481
NEWMONT CORP 131,601 +59,330 $5,447
     NEM131,601+59,330$5,447
SEMPRA 72,454 +15,236 $5,414
     SRE72,454+15,236$5,414
ROSS STORES INC 38,984 +7,981 $5,395
     ROST38,984+7,981$5,395
WELLTOWER INC 59,711 +14,525 $5,384
     WELL59,711+14,525$5,384
SIMON PPTY GROUP INC NEW 37,663 +7,927 $5,372
     SPG37,663+7,927$5,372
AFLAC INC 64,977 +12,777 $5,361
     AFL64,977+12,777$5,361
YANDEX N V 282,658 UNCH $5,354
     YNDX282,658UNCH$5,354
EDWARDS LIFESCIENCES CORP 69,970 +14,814 $5,335
     EW69,970+14,814$5,335
D R HORTON INC 35,048 +7,175 $5,327
     DHI35,048+7,175$5,327
IDEXX LABS INC 9,559 +2,014 $5,306
     IDXX9,559+2,014$5,306
VALERO ENERGY CORP 40,649 +7,770 $5,284
     VLO40,649+7,770$5,284
VEEVA SYS INC 27,384 +14,137 $5,272
     VEEV27,384+14,137$5,272
MONSTER BEVERAGE CORP NEW 90,441 +19,043 $5,210
     MNST90,441+19,043$5,210
MSCI INC 9,105 +1,827 $5,150
     MSCI9,105+1,827$5,150
WEST PHARMACEUTICAL SVSC INC 14,503 +1,755 $5,107
     WST14,503+1,755$5,107
TRAVELERS COMPANIES INC 26,352 +5,352 $5,020
     TRV26,352+5,352$5,020
BLACKLINE INC 80,000 UNCH $4,995
     BL80,000UNCH$4,995
NIO INC 550,300 UNCH $4,991
     NIO550,300UNCH$4,991
NUCOR CORP 28,630 +5,789 $4,983
     NUE28,630+5,789$4,983
BLOCK INC 63,258 +13,779 $4,893
     SQ63,258+13,779$4,893
IQVIA HLDGS INC 21,086 +4,206 $4,879
     IQV21,086+4,206$4,879
WILLIAMS COS INC 140,010 +29,245 $4,877
     WMB140,010+29,245$4,877
METLIFE INC 73,590 +14,402 $4,867
     MET73,590+14,402$4,867
COPART INC 99,201 +21,068 $4,861
     CPRT99,201+21,068$4,861
PAN AMERN SILVER CORP 297,115 -18,871 $4,850
     PAAS297,115-18,871$4,850
AMERICAN ELEC PWR CO INC 59,314 +12,508 $4,817
     AEP59,314+12,508$4,817
CALIX INC 110,000 UNCH $4,806
     CALX110,000UNCH$4,806
OCCIDENTAL PETE CORP      $4,735
     OXY76,376+15,563$4,560
     OXY.WT4,506UNCH$175
KIMBERLY CLARK CORP 38,922 +8,246 $4,729
     KMB38,922+8,246$4,729
ONEOK INC NEW 67,040 +14,134 $4,708
     OKE67,040+14,134$4,708
GATES INDL CORP PLC 350,000 -110,000 $4,697
     GTES350,000-110,000$4,697
DIGITAL RLTY TR INC 34,844 +8,352 $4,689
     DLR34,844+8,352$4,689
RYAN SPECIALTY HOLDINGS INC 109,000 -121,000 $4,689
     RYAN109,000-121,000$4,689
REALTY INCOME CORP 81,589 +20,377 $4,685
     O81,589+20,377$4,685
BANK NEW YORK MELLON CORP 89,635 +18,823 $4,666
     BK89,635+18,823$4,666
R1 RCM INC 440,000 -140,000 $4,651
     RCM440,000-140,000$4,651
CENTENE CORP DEL 62,333 +12,400 $4,626
     CNC62,333+12,400$4,626
CONSTELLATION BRANDS INC 19,030 +4,057 $4,601
     STZ19,030+4,057$4,601
OLD DOMINION FREIGHT LINE IN 11,317 +2,340 $4,587
     ODFL11,317+2,340$4,587
HESS CORP 31,815 +6,692 $4,586
     HES31,815+6,692$4,586
GUIDEWIRE SOFTWARE INC 42,000 +42,000 $4,580
     GWRE42,000+42,000$4,580
DOMINION ENERGY INC 96,305 +20,300 $4,526
     D96,305+20,300$4,526
JOHNSON CTLS INTL PLC 78,330 +15,961 $4,515
     JCI78,330+15,961$4,515
MASTEC INC 59,500 -267,566 $4,505
     MTZ59,500-267,566$4,505
FORTINET INC 76,847 +16,175 $4,498
     FTNT76,847+16,175$4,498
AMERIPRISE FINL INC 11,818 +2,339 $4,489
     AMP11,818+2,339$4,489
ONE GAS INC 70,000 -17,000 $4,460
     OGS70,000-17,000$4,460
ARCHER DANIELS MIDLAND CO 61,726 +12,211 $4,458
     ADM61,726+12,211$4,458
PAYCHEX INC 37,427 +7,914 $4,458
     PAYX37,427+7,914$4,458
DOW INC 80,924 +16,614 $4,438
     DOW80,924+16,614$4,438
COGNIZANT TECHNOLOGY SOLUTIO 58,135 +11,955 $4,391
     CTSH58,135+11,955$4,391
SANFILIPPO JOHN B & SON INC 42,500 UNCH $4,379
     JBSS42,500UNCH$4,379
AMETEK INC 26,554 +5,598 $4,378
     AME26,554+5,598$4,378
WATTS WATER TECHNOLOGIES INC 21,000 +4,000 $4,375
     WTS21,000+4,000$4,375
GENERAL MLS INC 66,910 +13,661 $4,359
     GIS66,910+13,661$4,359
CHARTER COMMUNICATIONS INC N 11,198 +2,292 $4,352
     CHTR11,198+2,292$4,352
LINCOLN ELEC HLDGS INC 20,000 -3,000 $4,349
     LECO20,000-3,000$4,349
ALAMOS GOLD INC NEW 323,105 -133,735 $4,345
     AGI323,105-133,735$4,345
PRUDENTIAL FINL INC 41,784 +8,693 $4,333
     PRU41,784+8,693$4,333
CONSTELLATION ENERGY CORP 37,024 +7,487 $4,328
     CEG37,024+7,487$4,328
BIOGEN INC 16,671 +3,513 $4,314
     BIIB16,671+3,513$4,314
GRAINGER W W INC 5,179 +1,071 $4,292
     GWW5,179+1,071$4,292
LENNAR CORP 28,793 +5,828 $4,291
     LEN28,793+5,828$4,291
KENVUE INC 198,383 +59,536 $4,271
     KVUE198,383+59,536$4,271
FASTENAL CO 65,783 +13,849 $4,261
     FAST65,783+13,849$4,261
APOLLO GLOBAL MGMT INC 45,694 +9,683 $4,258
     APO45,694+9,683$4,258
ATLASSIAN CORPORATION 17,865 +4,056 $4,249
     TEAM17,865+4,056$4,249
SYSCO CORP 58,045 +11,942 $4,245
     SYY58,045+11,942$4,245
OTIS WORLDWIDE CORP 47,393 +9,786 $4,240
     OTIS47,393+9,786$4,240
ALLSTATE CORP 30,112 +6,310 $4,215
     ALL30,112+6,310$4,215
YUM BRANDS INC 32,249 +6,764 $4,214
     YUM32,249+6,764$4,214
PG&E CORP 233,283 +60,891 $4,206
     PCG233,283+60,891$4,206
REPUBLIC SVCS INC 25,491 +5,354 $4,204
     RSG25,491+5,354$4,204
ON SEMICONDUCTOR CORP 49,672 +10,399 $4,149
     ON49,672+10,399$4,149
VERTEX INC 153,000 +153,000 $4,122
     VERX153,000+153,000$4,122
EXELON CORP 114,546 +24,112 $4,112
     EXC114,546+24,112$4,112
COSTAR GROUP INC 47,010 +9,851 $4,108
     CSGP47,010+9,851$4,108
ROCKWELL AUTOMATION INC 13,223 +2,781 $4,105
     ROK13,223+2,781$4,105
MASIMO CORP 35,000 -12,000 $4,102
     MASI35,000-12,000$4,102
GARTNER INC 9,076 +1,886 $4,094
     IT9,076+1,886$4,094
KINDER MORGAN INC DEL 230,801 +47,284 $4,071
     KMI230,801+47,284$4,071
DUPONT DE NEMOURS INC 52,832 +11,100 $4,064
     DD52,832+11,100$4,064
PPG INDS INC 27,113 +5,701 $4,055
     PPG27,113+5,701$4,055
WEST FRASER TIMBER CO LTD 47,048 -689,973 $4,025
     WFG47,048-689,973$4,025
CREDICORP LTD 26,820 UNCH $4,021
     BAP26,820UNCH$4,021
KEURIG DR PEPPER INC 120,629 +37,608 $4,021
     KDP120,629+37,608$4,021
VERISK ANALYTICS INC 16,697 +3,534 $3,988
     VRSK16,697+3,534$3,988
BAKER HUGHES COMPANY 116,211 +24,161 $3,972
     BKR116,211+24,161$3,972
XCEL ENERGY INC 63,478 +13,436 $3,930
     XEL63,478+13,436$3,930
CORTEVA INC 81,684 +17,008 $3,914
     CTVA81,684+17,008$3,914
CUMMINS INC 16,307 +3,431 $3,907
     CMI16,307+3,431$3,907
EXTRA SPACE STORAGE INC 24,315 +5,099 $3,898
     EXR24,315+5,099$3,898
GLOBAL PMTS INC 29,928 +6,137 $3,801
     GPN29,928+6,137$3,801
HALLIBURTON CO 103,446 +21,371 $3,740
     HAL103,446+21,371$3,740
VICI PPTYS INC 116,685 +25,385 $3,720
     VICI116,685+25,385$3,720
MODERNA INC 37,240 +7,772 $3,704
     MRNA37,240+7,772$3,704
THE TRADE DESK INC 51,354 +10,904 $3,695
     TTD51,354+10,904$3,695
KRAFT HEINZ CO 98,958 +20,848 $3,659
     KHC98,958+20,848$3,659
PALANTIR TECHNOLOGIES INC 212,437 +47,687 $3,648
     PLTR212,437+47,687$3,648
GE HEALTHCARE TECHNOLOGIES I 47,110 +9,879 $3,643
     GEHC47,110+9,879$3,643
BALCHEM CORP 24,400 +24,400 $3,630
     BCPC24,400+24,400$3,630
ROYAL CARIBBEAN GROUP 28,007 +7,071 $3,627
     RCL28,007+7,071$3,627
ANSYS INC 9,988 +2,136 $3,624
     ANSS9,988+2,136$3,624
CONSOLIDATED EDISON INC 39,705 +8,193 $3,612
     ED39,705+8,193$3,612
INGERSOLL RAND INC 46,545 +9,736 $3,600
     IR46,545+9,736$3,600
KROGER CO 78,648 +16,650 $3,595
     KR78,648+16,650$3,595
ZTO EXPRESS CAYMAN INC 168,700 -1,600 $3,590
     ZTO168,700-1,600$3,590
MARTIN MARIETTA MATLS INC 7,112 +1,474 $3,548
     MLM7,112+1,474$3,548
CENCORA INC 19,649 +4,020 $3,536
     ABC19,649+4,020$3,536
PUBLIC SVC ENTERPRISE GRP IN 57,451 +12,076 $3,513
     PEG57,451+12,076$3,513
CDW CORP 15,436 +3,175 $3,509
     CDW15,436+3,175$3,509
EQUIFAX INC 14,133 +3,023 $3,495
     EFX14,133+3,023$3,495
VULCAN MATLS CO 15,291 +3,193 $3,471
     VMC15,291+3,193$3,471
DOLLAR GEN CORP NEW 25,258 +5,317 $3,434
     DG25,258+5,317$3,434
COINBASE GLOBAL INC 19,686 +4,401 $3,424
     COIN19,686+4,401$3,424
DOLLAR TREE INC 24,055 +5,018 $3,417
     DLTR24,055+5,018$3,417
AMERICOLD REALTY TRUST INC 112,000 -163,000 $3,390
     COLD112,000-163,000$3,390
MONGODB INC 8,214 +1,798 $3,358
     MDB8,214+1,798$3,358
B2GOLD CORP 1,060,159 +174,052 $3,353
     BTG1,060,159+174,052$3,353
DEVON ENERGY CORP NEW 73,756 +15,395 $3,341
     DVN73,756+15,395$3,341
FAIR ISAAC CORP 2,860 +592 $3,329
     FICO2,860+592$3,329
CBRE GROUP INC 35,671 +7,529 $3,321
     CBRE35,671+7,529$3,321
MONOLITHIC PWR SYS INC 5,224 +1,127 $3,295
     MPWR5,224+1,127$3,295
CRESCENT PT ENERGY CORP 473,110 -210,084 $3,281
     CPG473,110-210,084$3,281
KEYSIGHT TECHNOLOGIES INC 20,436 +4,212 $3,251
     KEYS20,436+4,212$3,251
DISCOVER FINL SVCS 28,781 +5,683 $3,235
     DFS28,781+5,683$3,235
HERSHEY CO 17,249 +3,861 $3,216
     HSY17,249+3,861$3,216
ARCH CAP GROUP LTD 42,924 +9,042 $3,188
     ACGL42,924+9,042$3,188
HUBSPOT INC 5,471 +1,184 $3,176
     HUBS5,471+1,184$3,176
XYLEM INC 27,730 +6,069 $3,171
     XYL27,730+6,069$3,171
SBA COMMUNICATIONS CORP NEW 12,478 +2,624 $3,166
     SBAC12,478+2,624$3,166
EDISON INTL 44,119 +9,291 $3,154
     EIX44,119+9,291$3,154
TAKE TWO INTERACTIVE SOFTWAR 19,547 +4,149 $3,146
     TTWO19,547+4,149$3,146
HP INC 102,358 +21,638 $3,080
     HPQ102,358+21,638$3,080
AVALONBAY CMNTYS INC 16,345 +3,434 $3,060
     AVB16,345+3,434$3,060
WEC ENERGY GROUP INC 36,321 +7,627 $3,057
     WEC36,321+7,627$3,057
METTLER TOLEDO INTERNATIONAL 2,517 +520 $3,053
     MTD2,517+520$3,053
WARNER BROS DISCOVERY INC 266,591 +56,076 $3,034
     WBD266,591+56,076$3,034
DIAMONDBACK ENERGY INC 19,557 +3,901 $3,033
     FANG19,557+3,901$3,033
GRANITE REAL ESTATE INVT TR      $2,992
     GRP.U51,968-67,231$2,992
FORTIVE CORP 40,514 +8,372 $2,983
     FTV40,514+8,372$2,983
AMERICAN WTR WKS CO INC NEW 22,413 +4,695 $2,958
     AWK22,413+4,695$2,958
ZIMMER BIOMET HOLDINGS INC 24,062 +5,149 $2,928
     ZBH24,062+5,149$2,928
WEYERHAEUSER CO MTN BE 84,100 +17,798 $2,924
     WY84,100+17,798$2,924
APTIV PLC 32,551 +6,832 $2,920
     APTV32,551+6,832$2,920
DOORDASH INC 29,486 +6,513 $2,916
     DASH29,486+6,513$2,916
RESMED INC 16,938 +3,573 $2,914
     RMD16,938+3,573$2,914
WILLIS TOWERS WATSON PLC LTD 12,070 +2,429 $2,911
     WTW12,070+2,429$2,911
SOUTHERN COPPER CORP 33,700 UNCH $2,901
     SCCO33,700UNCH$2,901
CARDINAL HEALTH INC 28,370 +5,217 $2,860
     CAH28,370+5,217$2,860
CELESTICA INC 97,310 -220,471 $2,850
     CLS97,310-220,471$2,850
STATE STR CORP 36,700 +6,355 $2,843
     STT36,700+6,355$2,843
CORNING INC 93,274 +19,827 $2,840
     GLW93,274+19,827$2,840
LYONDELLBASELL INDUSTRIES N 29,845 +6,173 $2,838
     LYB29,845+6,173$2,838
HARTFORD FINL SVCS GROUP INC 35,218 +6,885 $2,831
     HIG35,218+6,885$2,831
ATS CORPORATION 65,303 +20,840 $2,815
     ATS65,303+20,840$2,815
SPLUNK INC 18,426 +4,107 $2,807
     SPLK18,426+4,107$2,807
BROADRIDGE FINL SOLUTIONS IN 13,599 +2,877 $2,798
     BR13,599+2,877$2,798
PRICE T ROWE GROUP INC 25,810 +5,381 $2,779
     TROW25,810+5,381$2,779
ULTA BEAUTY INC 5,669 +1,138 $2,778
     ULTA5,669+1,138$2,778
ALNYLAM PHARMACEUTICALS INC 14,384 +3,063 $2,753
     ALNY14,384+3,063$2,753
H WORLD GROUP LTD 82,000 UNCH $2,742
     HTHT82,000UNCH$2,742
FIFTH THIRD BANCORP 78,357 +16,426 $2,703
     FITB78,357+16,426$2,703
TRACTOR SUPPLY CO 12,523 +2,586 $2,693
     TSCO12,523+2,586$2,693
TENCENT MUSIC ENTMT GROUP 297,482 UNCH $2,680
     TME297,482UNCH$2,680
CHURCH & DWIGHT CO INC 28,333 +6,115 $2,679
     CHD28,333+6,115$2,679
EBAY INC. 61,262 +12,606 $2,672
     EBAY61,262+12,606$2,672
CLOUDFLARE INC 32,009 +7,008 $2,665
     NET32,009+7,008$2,665
MARRIOTT VACATIONS WORLDWIDE 31,000 -25,000 $2,632
     VAC31,000-25,000$2,632
NVR INC 375 +83 $2,625
     NVR375+83$2,625
M & T BK CORP 19,100 +4,017 $2,618
     MTB19,100+4,017$2,618
DTE ENERGY CO 23,727 +4,975 $2,616
     DTE23,727+4,975$2,616
WABTEC 20,616 +4,252 $2,616
     WAB20,616+4,252$2,616
PULTE GROUP INC 25,270 +4,965 $2,608
     PHM25,270+4,965$2,608
METHANEX CORP 54,930 +17,555 $2,599
     MEOH54,930+17,555$2,599
RAYMOND JAMES FINL INC 22,842 +4,534 $2,547
     RJF22,842+4,534$2,547
ILLUMINA INC 18,221 +3,837 $2,537
     ILMN18,221+3,837$2,537
EQUITY RESIDENTIAL 41,461 +8,721 $2,536
     EQR41,461+8,721$2,536
HEWLETT PACKARD ENTERPRISE C 147,642 +30,813 $2,507
     HPE147,642+30,813$2,507
NEXGEN ENERGY LTD 357,666 +128,716 $2,502
     NXE357,666+128,716$2,502
PINTEREST INC 67,029 +13,337 $2,483
     PINS67,029+13,337$2,483
EVERSOURCE ENERGY 40,203 +8,475 $2,481
     ES40,203+8,475$2,481
DOVER CORP 16,101 +3,453 $2,476
     DOV16,101+3,453$2,476
ENTERGY CORP NEW 24,336 +5,209 $2,463
     ETR24,336+5,209$2,463
MOLINA HEALTHCARE INC 6,709 +1,405 $2,424
     MOH6,709+1,405$2,424
TELEDYNE TECHNOLOGIES INC 5,417 +1,138 $2,418
     TDY5,417+1,138$2,418
EXPEDIA GROUP INC 15,874 +2,907 $2,410
     EXPE15,874+2,907$2,410
INVITATION HOMES INC 70,471 +14,810 $2,404
     INVH70,471+14,810$2,404
BUILDERS FIRSTSOURCE INC 14,397 +2,742 $2,403
     BLDR14,397+2,742$2,403
ALEXANDRIA REAL ESTATE EQ IN 18,917 +3,963 $2,398
     ARE18,917+3,963$2,398
PTC INC 13,679 +3,452 $2,393
     PTC13,679+3,452$2,393
INTERNATIONAL FLAVORS&FRAGRA 29,393 +6,189 $2,380
     IFF29,393+6,189$2,380
IRON MTN INC DEL 33,609 +7,082 $2,352
     IRM33,609+7,082$2,352
LIGHTSPEED COMMERCE INC 111,935 +35,995 $2,350
     LSPD111,935+35,995$2,350
LABORATORY CORP AMER HLDGS 10,186 +2,124 $2,315
     LH10,186+2,124$2,315
VENTAS INC 46,340 +9,950 $2,310
     VTR46,340+9,950$2,310
NASDAQ INC 39,577 +8,324 $2,301
     NDAQ39,577+8,324$2,301
FIRSTENERGY CORP 62,727 +13,227 $2,300
     FE62,727+13,227$2,300
PPL CORP 84,880 +17,833 $2,300
     PPL84,880+17,833$2,300
ALIGN TECHNOLOGY INC 8,368 +1,779 $2,293
     ALGN8,368+1,779$2,293
FLEETCOR TECHNOLOGIES INC 8,087 +1,704 $2,285
     FLT8,087+1,704$2,285
DARDEN RESTAURANTS INC 13,848 +2,921 $2,275
     DRI13,848+2,921$2,275
GARMIN LTD 17,626 +3,823 $2,266
     GRMN17,626+3,823$2,266
BAXTER INTL INC 58,318 +12,336 $2,255
     BAX58,318+12,336$2,255
DELL TECHNOLOGIES INC 29,477 +6,188 $2,255
     DELL29,477+6,188$2,255
ZSCALER INC 10,168 +2,209 $2,253
     ZS10,168+2,209$2,253
WATERS CORP 6,802 +1,431 $2,239
     WAT6,802+1,431$2,239
GENUINE PARTS CO 16,161 +3,467 $2,238
     GPC16,161+3,467$2,238
ROBLOX CORP 48,905 +11,003 $2,236
     RBLX48,905+11,003$2,236
ARES MANAGEMENT CORPORATION 18,791 +4,176 $2,235
     ARES18,791+4,176$2,235
COTERRA ENERGY INC 86,906 +18,033 $2,218
     CTRA86,906+18,033$2,218
VERALTO CORP 26,929 +26,929 $2,215
     VLTO26,929+26,929$2,215
TAL EDUCATION GROUP 175,100 UNCH $2,212
     TAL175,100UNCH$2,212
WALGREENS BOOTS ALLIANCE INC 84,497 +18,166 $2,206
     WBA84,497+18,166$2,206
VERISIGN INC 10,686 +2,215 $2,201
     VRSN10,686+2,215$2,201
PRINCIPAL FINANCIAL GROUP IN 27,826 +5,865 $2,189
     PFG27,826+5,865$2,189
AMEREN CORP 30,242 +6,345 $2,188
     AEE30,242+6,345$2,188
CBOE GLOBAL MKTS INC 12,142 +2,589 $2,168
     CBOE12,142+2,589$2,168
EXPEDITORS INTL WASH INC 17,032 +3,101 $2,166
     EXPD17,032+3,101$2,166
ELDORADO GOLD CORP NEW 166,663 +54,148 $2,163
     EGO166,663+54,148$2,163
COOPER COS INC 5,699 +1,195 $2,157
     COO5,699+1,195$2,157
CARNIVAL CORP 115,930 +24,985 $2,149
     CCL115,930+24,985$2,149
LAS VEGAS SANDS CORP 43,665 +12,380 $2,149
     LVS43,665+12,380$2,149
STEEL DYNAMICS INC 18,120 +3,515 $2,140
     STLD18,120+3,515$2,140
HEICO CORP NEW      $2,132
     HEI.A8,643+1,946$1,231
     HEI5,036+1,071$901
TARGA RES CORP 24,459 +5,080 $2,125
     TRGP24,459+5,080$2,125
HUNTINGTON BANCSHARES INC (HBAN) 166,748 +36,661 $2,121
     HBAN166,748+36,661$2,121
NETAPP INC 24,041 +4,744 $2,119
     NTAP24,041+4,744$2,119
AXON ENTERPRISE INC 8,176 +1,791 $2,112
     AXON8,176+1,791$2,112
FACTSET RESH SYS INC 4,392 +939 $2,095
     FDS4,392+939$2,095
REGIONS FINANCIAL CORP NEW 108,070 +22,723 $2,094
     RF108,070+22,723$2,094
BIOMARIN PHARMACEUTICAL INC 21,672 +4,601 $2,090
     BMRN21,672+4,601$2,090
BALL CORP 36,252 +7,639 $2,085
     BALL36,252+7,639$2,085
MATCH GROUP INC NEW 57,006 +31,871 $2,081
     MTCH57,006+31,871$2,081
CENTERPOINT ENERGY INC 72,690 +15,291 $2,077
     CNP72,690+15,291$2,077
ENPHASE ENERGY INC 15,688 +3,224 $2,073
     ENPH15,688+3,224$2,073
ENTEGRIS INC 17,288 +3,798 $2,071
     ENTG17,288+3,798$2,071
SKYWORKS SOLUTIONS INC 18,342 +3,935 $2,062
     SWKS18,342+3,935$2,062
MARKEL GROUP INC 1,450 +303 $2,059
     MKL1,450+303$2,059
BROWN FORMAN CORP      $2,038
     BF.B35,687+7,478$2,038
CLOROX CO DEL 14,279 +3,035 $2,036
     CLX14,279+3,035$2,036
HUBBELL INC 6,171 +1,321 $2,030
     HUBB6,171+1,321$2,030
TYLER TECHNOLOGIES INC 4,846 +1,033 $2,026
     TYL4,846+1,033$2,026
HOLOGIC INC 28,192 +5,798 $2,014
     HOLX28,192+5,798$2,014
FIRST SOLAR INC 11,679 +2,447 $2,012
     FSLR11,679+2,447$2,012
DECKERS OUTDOOR CORP 3,007 +630 $2,010
     DECK3,007+630$2,010
NORTHERN TR CORP 23,824 +5,049 $2,010
     NTRS23,824+5,049$2,010
SNAP INC 118,235 +25,901 $2,002
     SNAP118,235+25,901$2,002
LPL FINL HLDGS INC 8,715 +1,651 $1,984
     LPLA8,715+1,651$1,984
ATMOS ENERGY CORP 17,082 +4,049 $1,980
     ATO17,082+4,049$1,980
BRP INC 27,660 -61,221 $1,979
     DOOO27,660-61,221$1,979
MCCORMICK & CO INC 28,915 +6,074 $1,978
     MKC28,915+6,074$1,978
PRIMO WATER CORPORATION 131,090 -296,296 $1,975
     PRMW131,090-296,296$1,975
ZOOM VIDEO COMMUNICATIONS IN 27,422 +5,749 $1,972
     ZM27,422+5,749$1,972
OMNICOM GROUP INC 22,747 +4,637 $1,968
     OMC22,747+4,637$1,968
WESTERN DIGITAL CORP. 37,322 +8,229 $1,955
     WDC37,322+8,229$1,955
ALBEMARLE CORP 13,502 +2,829 $1,951
     ALB13,502+2,829$1,951
CMS ENERGY CORP 33,595 +7,067 $1,951
     CMS33,595+7,067$1,951
SEAGATE TECHNOLOGY HLDNGS PL 22,723 +5,945 $1,940
     STX22,723+5,945$1,940
BAUSCH HEALTH COS INC 241,163 +77,463 $1,935
     BHC241,163+77,463$1,935
TRICON RESIDENTIAL INC 211,435 +67,674 $1,924
     TCN211,435+67,674$1,924
TERADYNE INC 17,727 +3,602 $1,924
     TER17,727+3,602$1,924
JABIL INC 15,062 +3,163 $1,919
     JBL15,062+3,163$1,919
SUN CMNTYS INC 14,328 +3,113 $1,915
     SUI14,328+3,113$1,915
HUNT J B TRANS SVCS INC 9,515 +1,999 $1,901
     JBHT9,515+1,999$1,901
VERTIV HOLDINGS CO 39,422 +39,422 $1,893
     VRT39,422+39,422$1,893
IDEX CORP 8,699 +1,887 $1,889
     IEX8,699+1,887$1,889
RELIANCE STEEL & ALUMINUM CO 6,738 +1,410 $1,884
     RS6,738+1,410$1,884
JACOBS SOLUTIONS INC 14,491 +3,024 $1,881
     J14,491+3,024$1,881
AVERY DENNISON CORP 9,274 +1,961 $1,875
     AVY9,274+1,961$1,875
CINCINNATI FINL CORP 18,052 +3,749 $1,868
     CINF18,052+3,749$1,868
CELANESE CORP DEL 11,907 +2,504 $1,850
     CE11,907+2,504$1,850
SYNCHRONY FINANCIAL 48,176 +9,503 $1,840
     SYF48,176+9,503$1,840
TEXTRON INC 22,814 +4,465 $1,835
     TXT22,814+4,465$1,835
ESSEX PPTY TR INC 7,388 +1,553 $1,832
     ESS7,388+1,553$1,832
BAYTEX ENERGY CORP 551,357 +168,745 $1,823
     BTE551,357+168,745$1,823
MID AMER APT CMNTYS INC 13,437 +2,806 $1,807
     MAA13,437+2,806$1,807
CITIZENS FINL GROUP INC 54,382 +10,401 $1,802
     CFG54,382+10,401$1,802
CARLISLE COS INC 5,746 +1,132 $1,795
     CSL5,746+1,132$1,795
POOL CORP 4,494 +971 $1,792
     POOL4,494+971$1,792
SSR MINING IN 166,223 +53,133 $1,784
     SSRM166,223+53,133$1,784
QUEST DIAGNOSTICS INC 12,922 +2,776 $1,782
     DGX12,922+2,776$1,782
RIVIAN AUTOMOTIVE INC 75,727 +16,460 $1,777
     RIVN75,727+16,460$1,777
AVANTOR INC 77,773 +16,689 $1,776
     AVTR77,773+16,689$1,776
TENNANT CO 19,082 +19,082 $1,769
     TNC19,082+19,082$1,769
FIRST CTZNS BANCSHARES INC N (FCNCA) 1,245 +266 $1,767
     FCNCA1,245+266$1,767
CF INDS HLDGS INC 22,213 +4,475 $1,766
     CF22,213+4,475$1,766
EVEREST GROUP LTD 4,996 +4,996 $1,766
     EG4,996+4,996$1,766
TYSON FOODS INC 32,864 +6,879 $1,766
     TSN32,864+6,879$1,766
BEST BUY INC 22,549 +4,844 $1,765
     BBY22,549+4,844$1,765
KELLANOVA 31,519 +6,572 $1,762
     K31,519+6,572$1,762
SNAP ON INC 6,089 +1,300 $1,759
     SNA6,089+1,300$1,759
BUNGE GLOBAL SA 17,336 +3,643 $1,750
     BG17,336+3,643$1,750
TRANSALTA CORP 209,677 -186,979 $1,744
     TAC209,677-186,979$1,744
INSULET CORP 8,034 +1,729 $1,743
     PODD8,034+1,729$1,743
EQT CORP 44,972 +12,071 $1,739
     EQT44,972+12,071$1,739
LIVE NATION ENTERTAINMENT IN 18,543 +3,922 $1,736
     LYV18,543+3,922$1,736
MASCO CORP 25,883 +5,466 $1,734
     MAS25,883+5,466$1,734
LEGEND BIOTECH CORP 28,800 +5,200 $1,733
     LEGN28,800+5,200$1,733
STANLEY BLACK & DECKER INC 17,641 +3,831 $1,731
     SWK17,641+3,831$1,731
GODADDY INC 16,055 +2,886 $1,704
     GDDY16,055+2,886$1,704
DRAFTKINGS INC NEW 48,058 +10,221 $1,694
     DKNG48,058+10,221$1,694
GRACO INC 19,445 +4,242 $1,687
     GGG19,445+4,242$1,687
PACKAGING CORP AMER 10,353 +2,171 $1,687
     PKG10,353+2,171$1,687
MARATHON OIL CORP 69,749 +13,575 $1,685
     MRO69,749+13,575$1,685
BERKLEY W R CORP 23,715 +4,806 $1,677
     WRB23,715+4,806$1,677
DOMINOS PIZZA INC 4,015 +800 $1,655
     DPZ4,015+800$1,655
RPM INTL INC 14,824 +3,146 $1,655
     RPM14,824+3,146$1,655
WATSCO INC 3,861 +821 $1,654
     WSO3,861+821$1,654
KIMCO RLTY CORP 77,323 +21,222 $1,648
     KIM77,323+21,222$1,648
LENNOX INTL INC 3,678 +792 $1,646
     LII3,678+792$1,646
OKTA INC 18,050 +3,952 $1,634
     OKTA18,050+3,952$1,634
LEIDOS HOLDINGS INC 15,013 +3,234 $1,625
     LDOS15,013+3,234$1,625
AMCOR PLC 166,507 +32,028 $1,605
     AMCR166,507+32,028$1,605
HOST HOTELS & RESORTS INC 81,889 +17,430 $1,596
     HST81,889+17,430$1,596
WP CAREY INC 24,628 +5,330 $1,596
     WPC24,628+5,330$1,596
CONAGRA BRANDS INC 55,002 +11,851 $1,576
     CAG55,002+11,851$1,576
SS&C TECHNOLOGIES HLDGS INC 25,701 +5,516 $1,571
     SSNC25,701+5,516$1,571
HUDBAY MINERALS INC 284,451 -58,841 $1,565
     HBM284,451-58,841$1,565
REVVITY INC 14,287 +14,287 $1,562
     RVTY14,287+14,287$1,562
NORDSON CORP 5,905 +1,259 $1,560
     NDSN5,905+1,259$1,560
SUPER MICRO COMPUTER INC 5,479 +1,185 $1,557
     SMCI5,479+1,185$1,557
KEYCORP 107,688 +22,680 $1,551
     KEY107,688+22,680$1,551
SMUCKER J M CO 12,211 +2,927 $1,543
     SJM12,211+2,927$1,543
EXACT SCIENCES CORP 20,786 +4,392 $1,538
     EXAS20,786+4,392$1,538
LOEWS CORP 22,078 +4,367 $1,536
     L22,078+4,367$1,536
OWENS CORNING NEW 10,340 +2,153 $1,533
     OC10,340+2,153$1,533
MANHATTAN ASSOCIATES INC 7,097 +1,458 $1,528
     MANH7,097+1,458$1,528
TRANSUNION 22,243 +4,760 $1,528
     TRU22,243+4,760$1,528
TRIMBLE INC 28,573 +6,225 $1,520
     TRMB28,573+6,225$1,520
BLACKBERRY LTD 428,314 +137,462 $1,519
     BB428,314+137,462$1,519
FIDELITY NATIONAL FINANCIAL 29,759 +6,293 $1,518
     FNF29,759+6,293$1,518
GEN DIGITAL INC 66,257 +13,557 $1,512
     GEN66,257+13,557$1,512
TWILIO INC 19,804 +4,167 $1,503
     TWLO19,804+4,167$1,503
VIATRIS INC 138,049 +29,840 $1,495
     VTRS138,049+29,840$1,495
GAMING & LEISURE PPTYS INC 30,258 +6,612 $1,493
     GLPI30,258+6,612$1,493
ALLIANT ENERGY CORP 29,077 +6,355 $1,492
     LNT29,077+6,355$1,492
AES CORP 77,050 +16,757 $1,483
     AES77,050+16,757$1,483
NEUROCRINE BIOSCIENCES INC 11,233 +2,444 $1,480
     NBIX11,233+2,444$1,480
LKQ CORP 30,796 +6,686 $1,472
     LKQ30,796+6,686$1,472
VISTRA CORP 38,090 +7,556 $1,467
     VST38,090+7,556$1,467
ROLLINS INC 33,488 +7,060 $1,462
     ROL33,488+7,060$1,462
BURLINGTON STORES INC 7,463 +1,647 $1,451
     BURL7,463+1,647$1,451
INTERPUBLIC GROUP COS INC 44,303 +9,180 $1,446
     IPG44,303+9,180$1,446
MGM RESORTS INTERNATIONAL 32,325 +5,862 $1,444
     MGM32,325+5,862$1,444
KANZHUN LIMITED 86,700 UNCH $1,440
     BZ86,700UNCH$1,440
EQUITY LIFESTYLE PPTYS INC 20,363 +4,384 $1,436
     ELS20,363+4,384$1,436
FIRST MAJESTIC SILVER CORP 233,927 +74,766 $1,435
     AG233,927+74,766$1,435
LIBERTY MEDIA CORP DEL 22,671 +4,840 $1,431
     FWONK22,671+4,840$1,431
BIO TECHNE CORP 18,207 +4,029 $1,405
     TECH18,207+4,029$1,405
CNH INDL N V 115,233 +104,908 $1,404
     CNHI115,233+104,908$1,404
AECOM 15,164 +3,214 $1,402
     ACM15,164+3,214$1,402
CARMAX INC 18,258 +3,952 $1,401
     KMX18,258+3,952$1,401
DOCUSIGN INC 23,377 +5,093 $1,390
     DOCU23,377+5,093$1,390
EVERGY INC 26,432 +5,658 $1,381
     EVRG26,432+5,658$1,381
PENTAIR PLC 19,000 +4,053 $1,381
     PNR19,000+4,053$1,381
UDR INC 36,036 +7,818 $1,380
     UDR36,036+7,818$1,380
INCYTE CORP 21,914 +4,830 $1,376
     INCY21,914+4,830$1,376
TILRAY BRANDS INC 595,382 +40,026 $1,375
     TLRY595,382+40,026$1,375
HENRY JACK & ASSOC INC 8,377 +1,783 $1,369
     JKHY8,377+1,783$1,369
INTERNATIONAL PAPER CO 37,848 +7,854 $1,368
     IP37,848+7,854$1,368
MOSAIC CO NEW 38,255 +8,289 $1,367
     MOS38,255+8,289$1,367
NRG ENERGY INC 26,374 +5,491 $1,364
     NRG26,374+5,491$1,364
NUVEI CORPORATION 51,416 -21,188 $1,351
     NVEI51,416-21,188$1,351
TELEFLEX INCORPORATED 5,407 +1,173 $1,348
     TFX5,407+1,173$1,348
AMERICAN HOMES 4 RENT 37,453 +8,116 $1,347
     AMH37,453+8,116$1,347
MOLSON COORS BEVERAGE CO 21,843 +4,729 $1,337
     TAP21,843+4,729$1,337
EQUITABLE HLDGS INC 40,015 +7,612 $1,332
     EQH40,015+7,612$1,332
GLOBE LIFE INC 10,907 +2,663 $1,328
     GL10,907+2,663$1,328
OVINTIV INC 29,863 +6,084 $1,312
     OVV29,863+6,084$1,312
ROKU INC 14,293 +3,162 $1,310
     ROKU14,293+3,162$1,310
COMPANIA DE MINAS BUENAVENTU 85,450 UNCH $1,302
     BVN85,450UNCH$1,302
PAYCOM SOFTWARE INC 6,262 +1,523 $1,294
     PAYC6,262+1,523$1,294
REGENCY CTRS CORP 19,128 +4,056 $1,282
     REG19,128+4,056$1,282
ALLEGION PLC 10,101 +2,180 $1,280
     ALLE10,101+2,180$1,280
CROWN HLDGS INC 13,884 +3,065 $1,279
     CCK13,884+3,065$1,279
APA CORPORATION 35,387 +7,315 $1,270
     APA35,387+7,315$1,270
MARKETAXESS HLDGS INC 4,335 +928 $1,270
     MKTX4,335+928$1,270
QORVO INC 11,275 +2,302 $1,270
     QRVO11,275+2,302$1,270
NISOURCE INC 47,540 +10,314 $1,262
     NI47,540+10,314$1,262
HEALTHPEAK PROPERTIES INC 62,937 +13,627 $1,246
     PEAK62,937+13,627$1,246
ROYALTY PHARMA PLC 43,906 +9,252 $1,233
     RPRX43,906+9,252$1,233
EASTMAN CHEM CO 13,649 +2,784 $1,226
     EMN13,649+2,784$1,226
WESTROCK CO 29,501 +6,418 $1,225
     WRK29,501+6,418$1,225
F5 INC 6,825 +1,380 $1,222
     FFIV6,825+1,380$1,222
CAMDEN PPTY TR 12,292 +2,665 $1,220
     CPT12,292+2,665$1,220
BOSTON PROPERTIES INC 17,146 +3,640 $1,203
     BXP17,146+3,640$1,203
CLEVELAND CLIFFS INC NEW 58,549 +12,367 $1,196
     CLF58,549+12,367$1,196
HUNTINGTON INGALLS INDS INC 4,586 +970 $1,191
     HII4,586+970$1,191
UNITED THERAPEUTICS CORP DEL 5,403 +1,140 $1,188
     UTHR5,403+1,140$1,188
SMITH A O CORP 14,343 +2,898 $1,182
     AOS14,343+2,898$1,182
DENISON MINES CORP 673,741 +242,530 $1,180
     DNN673,741+242,530$1,180
UNITY SOFTWARE INC 28,681 +8,170 $1,173
     U28,681+8,170$1,173
CAESARS ENTERTAINMENT INC NE 24,774 +5,374 $1,161
     CZR24,774+5,374$1,161
ENBRIDGE INC 32,215 -664,404 $1,160
     ENB32,215-664,404$1,160
C H ROBINSON WORLDWIDE INC 13,410 +2,918 $1,158
     CHRW13,410+2,918$1,158
ETSY INC 14,161 +2,971 $1,148
     ETSY14,161+2,971$1,148
TORO CO 11,949 +2,508 $1,147
     TTC11,949+2,508$1,147
CERIDIAN HCM HLDG INC 17,017 +3,612 $1,142
     CDAY17,017+3,612$1,142
TRADEWEB MKTS INC 12,531 +2,645 $1,139
     TW12,531+2,645$1,139
HENRY SCHEIN INC 15,035 +3,197 $1,138
     HSIC15,035+3,197$1,138
EQUINOX GOLD CORP 231,604 +73,632 $1,126
     EQX231,604+73,632$1,126
FORTUNE BRANDS INNOVATIONS I 14,606 +3,094 $1,112
     FBIN14,606+3,094$1,112
HORMEL FOODS CORP 34,583 +7,363 $1,110
     HRL34,583+7,363$1,110
LIBERTY BROADBAND CORP 13,777 +3,002 $1,110
     LBRDK13,777+3,002$1,110
TEXAS PACIFIC LAND CORPORATI 706 +150 $1,110
     TPL706+150$1,110
UIPATH INC 44,645 +12,519 $1,109
     PATH44,645+12,519$1,109
ANNALY CAPITAL MANAGEMENT IN 56,866 +12,301 $1,101
     NLY56,866+12,301$1,101
LATTICE SEMICONDUCTOR CORP 15,862 +3,453 $1,094
     LSCC15,862+3,453$1,094
ALLY FINL INC 31,239 +6,822 $1,091
     ALLY31,239+6,822$1,091
UNIVERSAL HLTH SVCS INC 7,156 +1,439 $1,091
     UHS7,156+1,439$1,091
JUNIPER NETWORKS INC 36,979 +8,023 $1,090
     JNPR36,979+8,023$1,090
ROBERT HALF INC. 12,326 +2,598 $1,084
     RHI12,326+2,598$1,084
ESSENTIAL UTILS INC 28,910 +6,084 $1,080
     WTRG28,910+6,084$1,080
NEWS CORP NEW 43,872 +9,683 $1,077
     NWSA43,872+9,683$1,077
WYNN RESORTS LTD 11,809 +2,573 $1,076
     WYNN11,809+2,573$1,076
BATH & BODY WORKS INC 24,876 +5,261 $1,074
     BBWI24,876+5,261$1,074
KNIGHT SWIFT TRANSN HLDGS IN 18,566 +4,042 $1,070
     KNX18,566+4,042$1,070
CENTERRA GOLD INC 175,894 -80,246 $1,050
     CGAU175,894-80,246$1,050
ERO COPPER CORP 66,274 +21,291 $1,048
     ERO66,274+21,291$1,048
DICKS SPORTING GOODS INC 7,072 +1,477 $1,039
     DKS7,072+1,477$1,039
ASSURANT INC 6,102 +1,341 $1,028
     AIZ6,102+1,341$1,028
HF SINCLAIR CORP 18,492 +4,597 $1,028
     DINO18,492+4,597$1,028
FRANKLIN RESOURCES INC 34,453 +7,233 $1,026
     BEN34,453+7,233$1,026
ZILLOW GROUP INC 17,604 +3,750 $1,019
     Z17,604+3,750$1,019
CARLYLE GROUP INC 24,855 +5,266 $1,011
     CG24,855+5,266$1,011
CHESAPEAKE ENERGY CORP 12,947 +2,576 $996
     CHK12,947+2,576$996
AMERICAN FINL GROUP INC OHIO 8,301 +1,774 $987
     AFG8,301+1,774$987
ERIE INDTY CO 2,922 +627 $979
     ERIE2,922+627$979
BORGWARNER INC 27,050 +5,965 $970
     BWA27,050+5,965$970
CAMPBELL SOUP CO 22,290 +4,734 $964
     CPB22,290+4,734$964
FORTUNA SILVER MINES INC 249,847 +88,668 $962
     FSM249,847+88,668$962
LEAR CORP 6,760 +1,391 $955
     LEA6,760+1,391$955
CELSIUS HLDGS INC 17,252 +17,252 $941
     CELH17,252+17,252$941
VAIL RESORTS INC 4,393 +740 $938
     MTN4,393+740$938
ENERGY FUELS INC 130,836 +43,054 $938
     UUUU130,836+43,054$938
IAMGOLD CORP 371,702 +118,174 $937
     IAG371,702+118,174$937
CATALENT INC 20,730 +4,505 $931
     CTLT20,730+4,505$931
ALBERTSONS COS INC 39,796 +11,011 $915
     ACI39,796+11,011$915
DARLING INGREDIENTS INC 18,354 +3,907 $915
     DAR18,354+3,907$915
FMC CORP 14,354 +3,139 $905
     FMC14,354+3,139$905
BILL HOLDINGS INC 11,038 +2,408 $901
     BILL11,038+2,408$901
BANK NOVA SCOTIA HALIFAX 18,268 -199,293 $889
     BNS18,268-199,293$889
DROPBOX INC 29,888 +6,271 $881
     DBX29,888+6,271$881
BROOKFIELD CORP 21,669 -331,667 $869
     BN21,669-331,667$869
IQIYI INC 176,500 UNCH $861
     IQ176,500UNCH$861
FOX CORP 28,829 +4,364 $855
     FOXA28,829+4,364$855
PAYLOCITY HLDG CORP 5,173 +1,112 $853
     PCTY5,173+1,112$853
JAZZ PHARMACEUTICALS PLC 6,906 +1,074 $849
     JAZZ6,906+1,074$849
PARAMOUNT GLOBAL 56,199 +12,132 $832
     PARA56,199+12,132$832
BROOKFIELD BUSINESS PARTNERS 40,048 +12,762 $827
     BBU40,048+12,762$827
SEI INVTS CO 12,950 +2,680 $823
     SEIC12,950+2,680$823
NEW GOLD INC CDA 558,058 +558,058 $809
     NGD558,058+558,058$809
BIO RAD LABS INC 2,487 +477 $803
     BIO2,487+477$803
ALGOMA STL GROUP INC 79,174 +25,171 $795
     ASTL79,174+25,171$795
U HAUL HOLDING COMPANY      $789
     UHAL.B11,195+2,457$789
MAG SILVER CORP 75,349 +23,956 $784
     MAG75,349+23,956$784
SILVERCREST METALS INC 118,873 +37,292 $780
     SILV118,873+37,292$780
HASBRO INC 15,167 +3,252 $774
     HAS15,167+3,252$774
BALLARD PWR SYS INC NEW 204,057 +64,876 $756
     BLDP204,057+64,876$756
AUTOHOME INC 26,900 UNCH $755
     ATHM26,900UNCH$755
DELTA AIR LINES INC DEL 18,538 +3,940 $746
     DAL18,538+3,940$746
NOVAGOLD RES INC 198,370 +63,067 $741
     NG198,370+63,067$741
ASPEN TECHNOLOGY INC 3,339 +679 $735
     AZPN3,339+679$735
V F CORP 38,032 +8,082 $715
     VFC38,032+8,082$715
QIFU TECHNOLOGY INC 44,500 UNCH $704
     QFIN44,500UNCH$704
SEABRIDGE GOLD INC 57,468 +19,074 $697
     SA57,468+19,074$697
TOAST INC 37,813 +10,193 $690
     TOST37,813+10,193$690
HYATT HOTELS CORP 5,286 +1,006 $689
     H5,286+1,006$689
DAVITA INC 6,302 +1,310 $660
     DVA6,302+1,310$660
PRECISION DRILLING CORP 11,867 +4,369 $644
     PDS11,867+4,369$644
ROBINHOOD MKTS INC 49,632 +10,850 $632
     HOOD49,632+10,850$632
WESTLAKE CORPORATION 4,414 +1,018 $618
     WLK4,414+1,018$618
JOYY INC 15,400 -2,400 $611
     YY15,400-2,400$611
LITHIUM AMERS CORP NEW 94,941 +30,183 $609
     LAC94,941+30,183$609
MANULIFE FINL CORP 27,439 -276,342 $606
     MFC27,439-276,342$606
LITHIUM AMERICAS ARGENTINA C 94,941 +94,941 $598
     LAAC94,941+94,941$598
SPROTT INC 16,829 +5,336 $570
     SII16,829+5,336$570
ORLA MNG LTD NEW 170,755 +54,287 $557
     ORLA170,755+54,287$557
LIBERTY MEDIA CORP DEL 18,864 +4,312 $543
     LSXMK18,864+4,312$543
SOUTHWEST AIRLS CO 17,160 +3,698 $496
     LUV17,160+3,698$496
LIBERTY GLOBAL LTD 26,290 +3,875 $490
     LBTYK26,290+3,875$490
CONFLUENT INC 20,814 +5,935 $487
     CFLT20,814+5,935$487
CANADA GOOSE HLDGS INC 40,995 +12,060 $487
     GOOS40,995+12,060$487
SIRIUS XM HOLDINGS INC 88,612 +19,159 $485
     SIRI88,612+19,159$485
BARRICK GOLD CORP 26,563 -435,021 $480
     GOLD26,563-435,021$480
ANGLOGOLD ASHANTI PLC 24,409 -4,487 $472
     AU24,409-4,487$472
FOX CORP 16,269 +3,329 $450
     FOX16,269+3,329$450
LUCID GROUP INC 105,063 +23,744 $442
     LCID105,063+23,744$442
TELUS CORPORATION 21,901 -655,856 $390
     TU21,901-655,856$390
WEIBO CORP 32,070 UNCH $351
     WB32,070UNCH$351
CENOVUS ENERGY INC 20,376 -1,177,984 $340
     CVE20,376-1,177,984$340
CGI INC 3,121 -2,613 $334
     GIB3,121-2,613$334
THOMSON REUTERS CORP. 2,268 +42 $332
     TRI2,268+42$332
FORTIS INC 7,364 -151,081 $303
     FTS7,364-151,081$303
UBS GROUP AG 9,761 -23,651 $303
     UBS9,761-23,651$303
CAMECO CORP 6,559 -133,880 $283
     CCJ6,559-133,880$283
LUFAX HOLDING LTD 79,425 -199,175 $244
     LU79,425-199,175$244
MAGNA INTL INC 4,032 +83 $238
     MGA4,032+83$238
KINROSS GOLD CORP 18,607 +635 $113
     KGC18,607+635$113
ISHARES TR (EEM) 5 -65,000 $0
     EEM5-65,000$0
ALCON AG $0 (exited)
     ALC0-5,087$0
ARAMARK $0 (exited)
     ARMK0-22,427$0
ARIS MNG CORP $0 (exited)
     ARMN0-139,396$0
ARROW ELECTRS INC $0 (exited)
     ARW0-5,199$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-71,480$0
COGNEX CORP $0 (exited)
     CGNX0-15,645$0
CHEWY INC $0 (exited)
     CHWY0-10,568$0
CLARIVATE PLC $0 (exited)
     CLVT0-30,740$0
CRH PLC $0 (exited)
     CRH0-7,378$0
DEUTSCHE BANK A G $0 (exited)
     DB0-19,515$0
DAQO NEW ENERGY CORP $0 (exited)
     DQ0-23,000$0
ENDEAVOUR SILVER CORP $0 (exited)
     EXK0-106,114$0
FIRST HORIZON CORPORATION $0 (exited)
     FHN0-48,542$0
FISERV INC $0 (exited)
     FISV0-248,175$0
GILDAN ACTIVEWEAR INC $0 (exited)
     GIL0-11,801$0
GENERAC HLDGS INC $0 (exited)
     GNRC0-5,619$0
HEALTHCARE RLTY TR $0 (exited)
     HR0-34,522$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-19,771$0
INVESCO LTD $0 (exited)
     IVZ0-31,207$0
MOHAWK INDS INC $0 (exited)
     MHK0-4,876$0
MINISO GROUP HLDG LTD $0 (exited)
     MNSO0-38,600$0
OPEN TEXT CORP $0 (exited)
     OTEX0-207,355$0
REVVITY INC $0 (exited)
     PKI0-11,396$0
EVEREST GROUP LTD $0 (exited)
     RE0-3,899$0
SOLAREDGE TECHNOLOGIES INC $0 (exited)
     SEDG0-5,061$0
SEALED AIR CORP NEW $0 (exited)
     SEE0-12,858$0
SEAGEN INC $0 (exited)
     SGEN0-12,786$0
SENSATA TECHNOLOGIES HLDG PL $0 (exited)
     ST0-13,809$0
STELLANTIS N.V $0 (exited)
     STLA0-22,523$0
SILVERCORP METALS INC $0 (exited)
     SVM0-148,187$0
TEVA PHARMACEUTICAL INDS LTD $0 (exited)
     TEVA0-11,302$0
TELUS INTL CDA INC $0 (exited)
     TIXT0-40,863$0
VMWARE INC $0 (exited)
     VMW0-21,517$0
WHIRLPOOL CORP $0 (exited)
     WHR0-4,925$0
WOLFSPEED INC $0 (exited)
     WOLF0-11,239$0
DENTSPLY SIRONA INC $0 (exited)
     XRAY0-18,966$0
ZOOMINFO TECHNOLOGIES INC 0 -23,812 $0 (exited)
     ZI0-23,812$0

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