CPP Investments — Position History

Quarter-by-quarter 13F position matrix. Each cell shows the reported share count; New marks a fresh position, a dash means the position was fully exited that quarter.

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SymbolCompany Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023Q4 2023Q1 2024Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
NVDA NVIDIA CORPORATION 7.55M New 6.18M Reduce 5.51M Reduce 5.90M Add 6.08M Add 5.45M Reduce 5.16M Reduce 3.56M Reduce 3.59M Add 3.85M Add 3.85M 37.52M Add 32.87M Reduce 30.07M Reduce 34.17M Add 36.61M Add 44.73M Add 44.91M 48.79M Add 51.43M Add
AAPL APPLE INC 7.06M New 7.08M 4.74M Reduce 4.73M 3.47M Reduce 504.57K Reduce 760.52K Add 1.76M Add 1.95M Add 4.47M Add 11.53M Add 11.76M Add 11.95M Add 15.36M Add 19.69M Add 22.94M Add 24.89M Add 24.41M Reduce 25.75M Add 26.49M Add
MSFT MICROSOFT CORP 4.23M New 4.03M Reduce 2.63M Reduce 2.40M Reduce 1.87M Reduce 1.24M Reduce 1.85M Add 2.61M Add 2.15M Reduce 3.54M Add 6.28M Add 7.58M Add 7.22M Reduce 8.99M Add 10.19M Add 11.08M Add 12.42M Add 12.62M Add 15.00M Add 15.16M Add
AVGO BROADCOM INC 187.65K New 280.37K Add 310.36K Add 9.85K Reduce 52.11K Add 44.44K Reduce 74.15K Add 58.55K Reduce 114.75K Add 406.53K Add 461.31K Add 485.00K Add 4.00M Add 5.83M Add 7.08M Add 7.69M Add 9.94M Add 11.49M Add 10.29M Reduce 13.02M Add
GOOGL ALPHABET INC 1.17M New 1.08M Reduce 868.96K Reduce 869.16K 18.32M Add 16.84M Reduce 17.96M Add 19.06M Add 21.17M Add 20.05M Reduce 21.31M Add 23.26M Add 20.53M Reduce 10.74M Reduce 11.71M Add 9.25M Reduce 10.79M Add 10.96M Add 12.21M Add 12.97M Add
AMZN AMAZON COM INC 341.91K New 285.09K Reduce 159.77K Reduce 5.06M Add 4.42M Reduce 4.64M Add 4.73M Add 5.65M Add 5.43M Reduce 6.96M Add 6.67M Reduce 6.49M Reduce 6.34M Reduce 9.40M Add 11.35M Add 13.12M Add 16.48M Add 17.85M Add 18.52M Add 17.38M Reduce
MU MICRON TECHNOLOGY INC 1.47M New 2.04M Add 398.42K Reduce 904.95K Add 348.11K Reduce 10 Reduce 100.61K Add 627.83K Add 367.16K Reduce 1.62M Add 2.96M Add 1.52M Reduce 1.27M Reduce 640.75K Reduce 531.47K Reduce 1.59M Add 1.35M Reduce 1.98M Add 2.61M Add 3.26M Add
GOOG ALPHABET INC 512.22K New 467.41K Reduce 238.91K Reduce 200.22K Reduce 4.12M Add 3.08M Reduce 4.22M Add 4.39M Add 5.20M Add 4.94M Reduce 5.87M Add 7.50M Add 7.13M Reduce 6.23M Reduce 6.36M Add 6.28M Reduce 8.01M Add 7.73M Reduce 8.26M Add 8.96M Add
TSLA TESLA INC 114.31K New 483.02K Add 261.62K Reduce 230.06K Reduce 368.87K Add 959.73K Add 454.06K Reduce 393.44K Reduce 378.10K Reduce 525.19K Add 979.76K Add 1.12M Add 1.96M Add 2.22M Add 3.05M Add 3.60M Add 5.10M Add 5.05M Reduce 6.06M Add 7.48M Add
BG BUNGE GLOBAL SA — — — — — — — — — 2.63K New 2.63K 2.63K 2.63K 2.63K 2.63K 2.63K 26.25M Add 26.25M 26.25M 26.25M
META META PLATFORMS INC. CLASS A 4.53M New 4.05M Reduce 2.74M Reduce 2.58M Reduce 2.28M Reduce 1.83M Reduce 2.41M Add 2.51M Add 2.78M Add 2.62M Reduce 3.41M Add 3.69M Add 3.85M Add 2.92M Reduce 2.91M 3.00M Add 3.50M Add 3.97M Add 4.13M Add 4.72M Add
JPM JPMORGAN CHASE & CO 5.47M New 5.41M Reduce 3.72M Reduce 3.86M Add 3.97M Add 2.59M Reduce 1.73M Reduce 2.00M Add 2.76M Add 2.91M Add 3.11M Add 3.35M Add 4.12M Add 3.86M Reduce 4.17M Add 4.47M Add 5.71M Add 5.57M Reduce 6.52M Add 8.02M Add
AMD ADVANCED MICRO DEVICES INC 222.80K New 159.94K Reduce 4.10M Add 4.03M Reduce 3.78M Reduce 3.23M Reduce 2.91M Reduce 2.91M 2.79M Reduce 2.83M Add 3.11M Add 3.56M Add 2.40M Reduce 1.08M Reduce 1.67M Add 2.56M Add 3.38M Add 4.40M Add 3.44M Reduce 4.41M Add
RY ROYAL BK CDA 3.10M New 2.55M Reduce 4.48M Add 6.42M Add 6.19M Reduce 7.51M Add 6.53M Reduce 3.94M Reduce 4.19M Add 3.59M Reduce 5.04M Add 4.66M Reduce 3.10M Reduce 3.10M 6.35M Add 6.87M Add 6.90M 9.88M Add 9.97M Add 11.00M Add
LLY ELI LILLY & CO 1.21M New 1.51M Add 937.43K Reduce 901.27K Reduce 836.97K Reduce 807.73K Reduce 939.73K Add 904.83K Reduce 1.04M Add 945.53K Reduce 789.74K Reduce 927.15K Add 1.11M Add 1.05M Reduce 615.60K Reduce 1.15M Add 1.25M Add 1.33M Add 1.45M Add 1.72M Add
INTC INTEL CORP 2.44M New 1.25M Reduce 664.73K Reduce 39.55K Reduce 380.75K Add 3.45K Reduce 1.00M Add 1.41M Add 2.15M Add 2.51M Add 1.11M Reduce 3.35M Add 1.05M Reduce 4.49M Add 4.54M Add 4.37M Reduce 5.10M Add 10.29M Add 11.45M Add 13.24M Add
BRKB BERKSHIRE HATHAWAY INC DEL 2.36M New 1.47M Reduce 1.16M Reduce 1.18M Add 1.47M Add 1.17M Reduce 998.63K Reduce 1.09M Add 1.05M Reduce 891.38K Reduce 1.43M Add 1.52M Add 1.05M Reduce 1.11M Add 1.49M Add 1.81M Add 2.27M Add 2.88M Add 2.99M Add 3.50M Add
AMAT APPLIED MATLS INC 228.67K New 428.87K Add 14.39K Reduce 470 Reduce 24.11K Add 9.00K Reduce 27.30K Add 164.79K Add 203.91K Add 467.01K Add 547.75K Add 1.00M Add 698.75K Reduce 873.15K Add 1.23M Add 1.73M Add 1.35M Reduce 1.87M Add 2.11M Add 2.23M Add
LRCX LAM RESEARCH CORP — — — — — — — — — — — — — 1.62M New 2.70M Add 2.17M Reduce 3.35M Add 2.81M Reduce 2.85M Add 3.56M Add
TD TORONTO DOMINION BK ONT 3.60M New 3.15M Reduce 5.16M Add 5.86M Add 9.36M Add 10.50M Add 11.92M Add 6.57M Reduce 9.00M Add 6.94M Reduce 8.18M Add 8.08M Reduce 7.97M Reduce 5.79M Reduce 10.52M Add 12.47M Add 10.78M Reduce 13.52M Add 12.48M Reduce 12.68M Add
CNQ CANADIAN NAT RES LTD MED TER 26.43M New 23.28M Reduce 24.18M Add 19.36M Reduce 20.65M Add 22.14M Add 30.87M Add 26.72M Reduce 23.65M Reduce 21.39M Reduce 21.48M 41.46M Add 35.12M Reduce 36.96M Add 41.77M Add 37.79M Reduce 41.16M Add 41.02M 40.28M Reduce 38.64M Reduce
MA MASTERCARD INCORPORATED 4.57M New 4.05M Reduce 3.47M Reduce 3.41M Reduce 3.54M Add 3.15M Reduce 3.46M Add 3.40M Reduce 3.59M Add 3.93M Add 4.21M Add 4.33M Add 4.46M Add 4.69M Add 4.81M Add 4.13M Reduce 3.88M Reduce 3.70M Reduce 3.90M Add 2.76M Reduce
JNJ JOHNSON & JOHNSON 5.47M New 3.78M Reduce 3.46M Reduce 3.31M Reduce 3.01M Reduce 2.40M Reduce 3.08M Add 3.31M Add 2.60M Reduce 2.78M Add 3.49M Add 4.00M Add 4.24M Add 4.53M Add 2.78M Reduce 2.95M Add 3.48M Add 3.55M Add 4.54M Add 5.28M Add
BMO BANK MONTREAL MEDIUM 3.90M New 3.90M 3.08M Reduce 1.53M Reduce 2.04M Add 2.24M Add 2.41M Add 2.06M Reduce 1.72M Reduce 1.72M 1.98M Add 2.56M Add 2.53M Reduce 2.21M Reduce 3.68M Add 3.49M Reduce 3.85M Add 6.33M Add 6.24M Reduce 7.26M Add
CEG CONSTELLATION ENERGY CORP — — 605.40K New 87.70K Reduce 564.73K Add 535.53K Reduce 546.08K Add 503.38K Reduce 534.08K Add 448.98K Reduce 443.13K Reduce 288.77K Reduce 125.59K Reduce 141.29K Add 141.29K 141.29K 141.29K 141.29K 7.67M Add 5.01M Reduce
XOM EXXON MOBIL CORP 1.47M New 1.47M 946.12K Reduce 511.52K Reduce 10.76K Reduce 101.02K Add 10 Reduce 10 2.16M Add 167.26K Reduce 938.56K Add 2.93M Add 2.15M Reduce 3.00M Add 5.09M Add 5.92M Add 6.78M Add 7.04M Add 7.43M Add 8.83M Add
DLR DIGITAL RLTY TR INC 4.26M New 4.15M Reduce 4.12M Reduce 3.94M Reduce 4.12M Add 4.43M Add 4.66M Add 4.70M Add 4.71M 4.50M Reduce 4.68M Add 4.83M Add 4.34M Reduce 4.38M Add 7.14M Add 7.36M Add 7.46M Add 7.46M 7.58M Add 6.56M Reduce
VIK VIKING HOLDINGS LTD — — — — — — — — — — — 60.81M New 50.51M Reduce 45.33M Reduce 40.44M Reduce 31.34M Reduce 25.14M Reduce 20.14M Reduce 20.14M 11.24M Reduce
EQIX EQUINIX INC 299.04K New 286.06K Reduce 344.25K Add 462.44K Add 641.04K Add 650.64K Add 671.02K Add 602.04K Reduce 632.04K Add 723.85K Add 820.66K Add 880.00K Add 891.08K Add 902.63K Add 1.06M Add 1.10M Add 1.18M Add 1.15M Reduce 1.18M Add 1.12M Reduce
TRP TC ENERGY CORP 5.95M New 6.09M Add 10.96M Add 6.75M Reduce 15.08M Add 15.77M Add 25.04M Add 20.83M Reduce 24.57M Add 12.38M Reduce 9.40M Reduce 19.46M Add 13.48M Reduce 14.76M Add 19.81M Add 20.99M Add 21.41M Add 18.17M Reduce 17.52M Reduce 17.36M Reduce
CSCO CISCO SYS INC 3.08M New 5.47M Add 1.25M Reduce 2.89M Add 2.90M 2.76M Reduce 476.81K Reduce 319.11K Reduce 2.04M Add 5.49M Add 2.95M Reduce 4.49M Add 2.38M Reduce 4.33M Add 6.04M Add 6.18M Add 8.42M Add 7.81M Reduce 9.89M Add 9.57M Reduce
UNP UNION PAC CORP 4.24M New 3.94M Reduce 3.81M Reduce 3.89M Add 3.88M 3.67M Reduce 3.73M Add 3.83M Add 3.85M 3.69M Reduce 3.90M Add 4.22M Add 4.14M Reduce 4.17M Add 4.63M Add 4.13M Reduce 4.20M Add 6.06M Add 6.08M 4.02M Reduce
SHOP SHOPIFY INC 253.96K New 245.36K Reduce 226.16K Reduce 3.48M Add 4.83M Add 5.08M Add 5.75M Add 5.51M Reduce 5.46M Reduce 5.67M Add 4.06M Reduce 3.99M Reduce 4.00M 4.42M Add 5.94M Add 5.28M Reduce 5.38M Add 8.76M Add 8.31M Reduce 8.93M Add
SRAD SPORTRADAR GROUP AG 79.54M New 97.61M Add 97.61M 97.62M 97.62M 97.61M 80.68M Reduce 80.68M 80.68M 79.56M Reduce 79.56M 79.56M 79.56M 79.56M 79.56M 68.17M Reduce 68.17M 68.17M 68.17M 68.17M
BNS BANK NOVA SCOTIA B C 6.23M New 2.55M Reduce 2.49M Reduce 7.82M Add 13.30M Add 15.71M Add 8.59M Reduce 3.46M Reduce 3.40M Reduce 3.73M Add 4.00M Add 3.95M Reduce 3.88M Reduce 3.47M Reduce 8.36M Add 7.65M Reduce 8.77M Add 10.77M Add 9.11M Reduce 11.71M Add
KLAC KLA CORP 15.80K New 206.03K Add 61.82K Reduce 74.92K Add 192 Reduce 391 Add 32.81K Add 96.00K Add 92.61K Reduce 112.21K Add 167.48K Add 10.82K Reduce 9.46K Reduce 100.65K Add 84.80K Reduce 74.24K Reduce 46.98K Reduce 85.42K Add 161.69K Add 3.27M Add
UNH UNITEDHEALTH GROUP INCORPORATED 3.78M New 3.23M Reduce 2.32M Reduce 2.36M Add 2.55M Add 2.43M Reduce 2.42M 2.41M 2.46M Add 2.67M Add 2.63M Reduce 3.13M Add 4.33M Add 4.32M 4.01M Reduce 1.51M Reduce 1.58M Add 1.46M Reduce 1.93M Add 2.34M Add
CAT CATERPILLAR INC 504.23K New 545.42K Add 247.39K Reduce 219.39K Reduce 219.85K 4.92K Reduce 66.39K Add 47.09K Reduce 162.99K Add 100.20K Reduce 407.68K Add 59.07K Reduce 56.41K Reduce 273.37K Add 397.85K Add 374.64K Reduce 505.03K Add 408.13K Reduce 497.44K Add 907.03K Add
CM CANADIAN IMPERIAL BANK OF CO 606.00K New — 121.90K New 798.80K Add 5.33M Add 5.11M Reduce 7.15M Add 2.47M Reduce 2.45M Reduce 3.95M Add 5.59M Add 5.17M Reduce 4.32M Reduce 4.92M Add 6.06M Add 6.85M Add 6.31M Reduce 7.18M Add 9.00M Add 8.06M Reduce
BAC BANK OF AMER CORP 15.68M New 11.37M Reduce 7.18M Reduce 6.88M Reduce 6.52M Reduce 4.90M Reduce 5.39M Add 4.38M Reduce 10.66M Add 16.32M Add 14.53M Reduce 10.91M Reduce 15.46M Add 15.06M Reduce 14.07M Reduce 15.01M Add 15.52M Add 14.58M Reduce 18.48M Add 16.08M Reduce
LYV LIVE NATION ENTERTAINMENT IN 8.82M New 8.20M Reduce 8.16M Reduce 8.19M 8.12M Reduce 8.15M 8.24M Add 8.37M Add 8.80M Add 8.91M Add 8.57M Reduce 8.72M Add 8.61M Reduce 8.65M Add 9.03M Add 8.81M Reduce 8.90M Add 9.43M Add 8.80M Reduce 4.69M Reduce
COST COSTCO WHOLESALE CORPORATION 1.11M New 1.16M Add 781.28K Reduce 765.11K Reduce 759.91K Reduce 553.85K Reduce 891.98K Add 861.63K Reduce 1.16M Add 1.36M Add 1.15M Reduce 866.31K Reduce 830.17K Reduce 705.33K Reduce 316.79K Reduce 490.87K Add 927.89K Add 974.98K Add 876.13K Reduce 916.80K Add
PLTR PALANTIR TECHNOLOGIES INC 8.81M New 7.00M Reduce 7.03M 7.07M Add 7.29M Add 468.18K Reduce 455.60K Reduce 735.30K Add 734.10K 1.58M Add 1.64M Add 870.37K Reduce 1.57M Add 3.12M Add 2.23M Reduce 3.14M Add 5.18M Add 5.89M Add 6.29M Add 7.27M Add
LIN LINDE PLC — — — — — — 2.81M New 2.89M Add 2.96M Add 2.83M Reduce 2.89M Add 3.11M Add 3.80M Add 3.81M 3.52M Reduce 3.29M Reduce 3.35M Add 1.79M Reduce 2.06M Add 1.63M Reduce
IWM ISHARES TR 2.02M New 2.17M Add 1.72M Reduce 1.85M Add 1.85M 1.85M 1.72M Reduce 1.72M 1.72M 1.72M 1.72M 1.72M 1.72M 1.72M 3.01M Add 3.01M 2.78M Reduce 2.78M 2.78M 2.78M
ABBV ABBVIE INC 2.82M New 3.33M Add 2.94M Reduce 2.63M Reduce 2.23M Reduce 1.85M Reduce 1.83M Reduce 1.91M Add 2.28M Add 2.38M Add 2.34M Reduce 2.87M Add 2.98M Add 2.82M Reduce 1.75M Reduce 2.51M Add 3.19M Add 2.79M Reduce 2.65M Reduce 3.25M Add
WMT WALMART INC 3.37M New 3.01M Reduce 3.65M Add 2.35M Reduce 2.36M 2.00M Reduce 2.71M Add 2.78M Add 3.06M Add 2.90M Reduce 11.12M Add 9.29M Reduce 8.26M Reduce 7.99M Reduce 2.66M Reduce 3.83M Add 6.11M Add 6.66M Add 7.91M Add 7.03M Reduce
GS GOLDMAN SACHS GROUP INC 362.69K New 277.35K Reduce 131.63K Reduce 260.53K Add 366.03K Add 210.34K Reduce 252.81K Add 325.90K Add 355.53K Add 391.10K Add 625.69K Add 843.65K Add 623.58K Reduce 407.76K Reduce 524.30K Add 566.78K Add 731.21K Add 682.83K Reduce 638.83K Reduce 774.11K Add
MRVL MARVELL TECHNOLOGY INC 81.19K New 1.02M Add 234.55K Reduce 199.46K Reduce 53.86K Reduce 30.74K Reduce 30.74K 327.01K Add 67.91K Reduce 208.11K Add 1.36M Add 276.70K Reduce 326.29K Add 469.79K Add 1.07M Add 1.82M Add 1.82M 2.99M Add 2.58M Reduce 2.55M Reduce
GE GE AEROSPACE 1.45M New 1.28M Reduce 391.54K Reduce 365.04K Reduce 560.54K Add 354.28K Reduce 461.88K Add 288.58K Reduce 866.48K Add 2.21M Add 7.12M Add 6.66M Reduce 6.77M Add 7.55M Add 7.56M 6.61M Reduce 6.69M Add 3.19M Reduce 2.91M Reduce 2.02M Reduce
LNG CHENIERE ENERGY INC 129.80K New 64.40K Reduce 38.60K Reduce 22.60K Reduce 233.70K Add 168.00K Reduce 813.30K Add 865.00K Add 1.50M Add 1.77M Add 1.96M Add 2.06M Add 2.04M Reduce 1.95M Reduce 1.84M Reduce 1.85M 1.83M Reduce 4.01M Add 4.07M Add 3.11M Reduce
ARES ARES MANAGEMENT CORPORATION — 89.00K New 2.50K Reduce 18.90K Add — 700 New — — 910.69K New 1.78M Add 1.77M Reduce 1.58M Reduce 1.56M Reduce 1.64M Add 1.73M Add 1.61M Reduce 1.98M Add 4.48M Add 7.61M Add 6.65M Reduce
HD HOME DEPOT INC 782.26K New 833.86K Add 408.38K Reduce 559.85K Add 644.15K Add 558.90K Reduce 566.89K Add 562.45K Reduce 866.78K Add 916.66K Add 526.80K Reduce 849.60K Add 732.50K Reduce 1.16M Add 1.08M Reduce 1.51M Add 1.56M Add 1.61M Add 1.97M Add 2.07M Add
CVX CHEVRON CORPORATION 578.68K New 860.82K Add 39.01K Reduce 135.03K Add 36.82K Reduce 41.02K Add 27.83K Reduce 218.03K Add 218.03K 500.01K Add 554.75K Add 132.01K Reduce 378.79K Add 784.20K Add 1.89M Add 2.11M Add 2.93M Add 3.04M Add 3.64M Add 4.35M Add
TXN TEXAS INSTRS INC 398.67K New 553.81K Add 148.51K Reduce 144.32K Reduce 241.11K Add 3.20K Reduce 19.10K Add 8.30K Reduce 8.40K Add 334.11K Add 381.81K Add 200.18K Reduce 202.10K Add 751.40K Add 596.30K Reduce 1.24M Add 2.42M Add 1.17M Reduce 2.69M Add 2.39M Reduce
GEV GE VERNOVA INC — — — — — — — — — — — 206.21K New 230.60K Add 379.83K Add 368.62K Reduce 393.54K Add 476.95K Add 382.98K Reduce 441.80K Add 600.41K Add
KO COCA COLA CO 10.41M New 9.28M Reduce 7.35M Reduce 7.14M Reduce 7.08M Reduce 5.90M Reduce 7.89M Add 8.49M Add 9.06M Add 9.02M 10.43M Add 9.84M Reduce 9.28M Reduce 7.43M Reduce 2.85M Reduce 4.95M Add 7.11M Add 7.37M Add 9.08M Add 8.40M Reduce
ADI ANALOG DEVICES INC 201.58K New 101.37K Reduce 116.08K Add 118.99K Add 2.51K Reduce 36.22K Add 31.72K Reduce 63.97K Add 208.97K Add 10 Reduce 1.75M Add 1.59M Reduce 1.70M Add 1.00M Reduce 1.20M Add 1.10M Reduce 1.15M Add 1.07M Reduce 1.13M Add 1.71M Add
MS MORGAN STANLEY 5.80M New 5.23M Reduce 4.14M Reduce 4.05M Reduce 3.54M Reduce 3.33M Reduce 3.17M Reduce 3.32M Add 3.10M Reduce 3.80M Add 3.51M Reduce 2.33M Reduce 2.27M Reduce 1.59M Reduce 2.26M Add 2.22M Reduce 2.34M Add 2.31M Reduce 2.98M Add 3.23M Add
BN BROOKFIELD CORP — — — — — 2.17M New 2.57M Add 2.57M 2.57M 2.57M 2.57M 2.57M 2.57M 2.57M 2.81M Add 6.54M Add 6.61M Add 13.06M Add 12.19M Reduce 14.67M Add
C CITIGROUP INC 4.29M New 4.00M Reduce 1.37M Reduce 2.09M Add 3.07M Add 649.86K Reduce 1.36M Add 671.08K Reduce 2.36M Add 1.84M Reduce 2.37M Add 2.74M Add 2.28M Reduce 2.49M Add 2.94M Add 4.33M Add 5.64M Add 4.72M Reduce 4.45M Reduce 4.46M
STX SEAGATE TECHNOLOGY HLDNGS PL 10 New 28.41K Add 1.71K Reduce 10 Reduce 10 10 10 10 10 10 10 9.67K Add 5.50K Reduce 3.50K Reduce — 106.26K New 799.11K Add 909.39K Add 883.57K Reduce 639.71K Reduce
NFLX NETFLIX INC. 633.01K New 517.13K Reduce 424.44K Reduce 445.56K Add 874.88K Add 847.93K Reduce 1.01M Add 1.05M Add 1.04M 1.15M Add 1.34M Add 1.25M Reduce 1.26M Add 881.70K Reduce 804.89K Reduce 674.20K Reduce 877.79K Add 7.27M Add 8.49M Add 8.46M
ISRG INTUITIVE SURGICAL INC 224.93K New 529.41K Add 425.31K Reduce 399.65K Reduce 402.80K Add 362.31K Reduce 375.26K Add 399.96K Add 412.06K Add 592.34K Add 807.78K Add 973.49K Add 1.01M Add 1.05M Add 857.31K Reduce 1.09M Add 1.46M Add 1.40M Reduce 1.50M Add 1.52M Add
V VISA INC 2.67K New 2.34K Reduce 1.43K Reduce 1.93K Add 1.11K Reduce — 354.68K New 452 Reduce 452 194.26K Add 1.05M Add 1.17M Add 1.80M Add 1.15M Reduce 929.64K Reduce 939.31K Add 749.18K Reduce 721.58K Reduce 920.06K Add 1.72M Add
ENB ENBRIDGE INC 8.28M New 7.10M Reduce 7.47M Add 7.10M Reduce 9.33M Add 8.15M Reduce 4.83M Reduce 7.63M Add 10.45M Add 5.42M Reduce 9.04M Add 6.27M Reduce 5.68M Reduce 6.82M Add 9.53M Add 13.21M Add 10.04M Reduce 11.21M Add 13.80M Add 10.80M Reduce
PLD PROLOGIS INC. 2.76M New 2.99M Add 2.79M Reduce 2.56M Reduce 2.47M Reduce 3.18M Add 3.06M Reduce 3.43M Add 3.35M Reduce 3.90M Add 3.76M Reduce 4.24M Add 4.96M Add 4.95M 2.89M Reduce 3.15M Add 3.22M Add 3.26M Add 3.27M 4.32M Add
B BARRICK MNG CORP 16.00K New 24.60K Add — — — — — — — — — — — — — 8.27M New 7.96M Reduce 13.00M Add 15.32M Add 15.70M Add
TTE TOTALENERGIES SE — — — — — — — — — — — — — — — — — 6.62M New 6.07M Reduce 7.40M Add
APP APPLOVIN CORP — — — — — — — — 15.30K New 10.40K Reduce 22.70K Add 31.40K Add 46.53K Add 21.02K Reduce 139.65K Add 425.62K Add 237.01K Reduce 355.02K Add 408.31K Add 1.08M Add
ORCL ORACLE CORP 1.51M New 1.68M Add 1.05M Reduce 51.83K Reduce 10 Reduce 13 Add 10 Reduce 534.01K Add 651.01K Add 682.62K Add 1.20M Add 1.45M Add 2.04M Add 1.04M Reduce 1.36M Add 1.74M Add 2.21M Add 2.93M Add 3.69M Add 3.78M Add
PG PROCTER & GAMBLE CO 5.22M New 4.80M Reduce 3.60M Reduce 3.56M Reduce 3.54M Reduce 2.98M Reduce 4.76M Add 4.69M Reduce 5.51M Add 4.75M Reduce 5.49M Add 5.71M Add 5.58M Reduce 4.43M Reduce 1.32M Reduce 2.93M Add 3.51M Add 4.01M Add 4.37M Add 3.76M Reduce
CP CANADIAN PACIFIC KANSAS CITY — — — — — — — 2.32M New 2.32M 2.52M Add 2.78M Add 2.81M Add 4.29M Add 3.08M Reduce 4.54M Add 5.09M Add 4.23M Reduce 6.01M Add 5.49M Reduce 6.26M Add
QCOM QUALCOMM INC 1.22M New 1.14M Reduce 277.35K Reduce 301.82K Add 283.61K Reduce 171.95K Reduce 582.25K Add 387.35K Reduce 596.52K Add 1.41M Add 1.15M Reduce 1.62M Add 836.45K Reduce 1.05M Add 1.50M Add 1.92M Add 1.72M Reduce 2.15M Add 2.15M 2.93M Add
MRK MERCK & CO INC 5.83M New 5.03M Reduce 4.65M Reduce 3.82M Reduce 3.24M Reduce 2.60M Reduce 2.72M Add 2.93M Add 3.37M Add 3.13M Reduce 3.88M Add 5.39M Add 4.06M Reduce 5.82M Add 3.82M Reduce 3.64M Reduce 3.85M Add 4.31M Add 3.62M Reduce 4.18M Add
AEM AGNICO EAGLE MINES LTD — 1.20M New 1.52M Add 1.92M Add 2.83M Add 4.18M Add 2.92M Reduce 1.37M Reduce 1.56M Add 1.56M 1.71M Add 1.97M Add 1.49M Reduce 1.49M 2.34M Add 2.34M 2.46M Add 3.64M Add 3.54M Reduce 3.44M Reduce
CNI CANADIAN NATL RY CO 2.44M New 3.00M Add 3.20M Add 3.20M 3.76M Add 3.75M 3.01M Reduce 1.58M Reduce 1.68M Add 2.34M Add 4.51M Add 1.84M Reduce 2.46M Add 2.12M Reduce 2.86M Add 3.63M Add 3.26M Reduce 3.60M Add 4.49M Add 4.46M Reduce
WELL WELLTOWER INC 1.40M New 1.51M Add 1.83M Add 1.71M Reduce 1.63M Reduce 1.38M Reduce 1.36M Reduce 1.37M Add 1.38M 1.57M Add 1.70M Add 2.11M Add 2.14M Add 1.22M Reduce 96.66K Reduce 399.94K Add 471.24K Add 916.02K Add 2.03M Add 2.33M Add
UBS UBS GROUP AG 3.35M New 3.35M 3.35M 5.40M Add 5.81M Add 5.31M Reduce 6.03M Add 2.00M Reduce 3.19M Add 6.30M Add 7.79M Add 8.63M Add 9.17M Add 6.15M Reduce 5.48M Reduce 6.40M Add 5.73M Reduce 8.78M Add 7.96M Reduce 10.23M Add
MFC MANULIFE FINL CORP 6.88M New 8.38M Add 7.42M Reduce 7.80M Add 7.41M Reduce 2.17M Reduce 9.33M Add 5.33M Reduce 4.73M Reduce 4.87M Add 5.47M Add 5.37M Reduce 5.23M Reduce 7.43M Add 9.65M Add 6.48M Reduce 6.32M Reduce 11.02M Add 12.99M Add 12.24M Reduce
SPG SIMON PPTY GROUP INC NEW 839.83K New 1.27M Add 1.23M Reduce 1.38M Add 1.16M Reduce 1.08M Reduce 1.10M Add 1.08M Reduce 1.08M 1.05M Reduce 1.05M 1.07M Add 1.08M Add 1.09M Add 406.79K Reduce 462.67K Add 557.70K Add 1.02M Add 2.21M Add 2.19M Reduce
PEP PEPSICO INC 3.36M New 2.89M Reduce 1.94M Reduce 1.82M Reduce 2.12M Add 2.08M Reduce 2.94M Add 3.32M Add 2.80M Reduce 3.41M Add 3.32M Reduce 3.33M Add 3.28M Reduce 3.73M Add 1.91M Reduce 3.37M Add 3.75M Add 3.15M Reduce 3.29M Add 3.60M Add
COF CAPITAL ONE FINL CORP 531.02K New 371.51K Reduce 389.54K Add 393.04K Add 24.86K Reduce 68.55K Add 152.20K Add 27.60K Reduce 91.50K Add 229.70K Add 218.51K Reduce 444.21K Add 386.73K Reduce 296.27K Reduce 323.12K Add 2.33M Add 2.96M Add 2.67M Reduce 2.70M Add 2.41M Reduce
RTX RTX CORPORATION — — — — — — — — — — — — — — — — — — — 2.54M New
IBM INTERNATIONAL BUSINESS MACHS 242.11K New 698.86K Add 40.23K Reduce 10.14K Reduce 47.21K Add 34 Reduce 10 Reduce 7.01K Add 7.01K 5.61K Reduce 281.50K Add 225.65K Reduce 17.63K Reduce 223.06K Add 533.07K Add 893.96K Add 898.43K 1.23M Add 1.60M Add 1.71M Add
WFC WELLS FARGO & CO 6.07M New 5.18M Reduce 3.97M Reduce 4.03M Add 3.52M Reduce 2.79M Reduce 2.55M Reduce 3.09M Add 4.26M Add 3.72M Reduce 5.13M Add 3.41M Reduce 4.24M Add 3.94M Reduce 5.31M Add 4.27M Reduce 5.05M Add 4.60M Reduce 5.17M Add 5.81M Add
RNW RENEW ENERGY GLOBAL PLC 46.87M New 46.87M 64.87M Add 64.87M 76.50M Add 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M 76.50M
TJX TJX COS INC NEW 401.90K New 231.79K Reduce 208.54K Reduce 208.54K 208.54K 203.45K Reduce 276.39K Add 921.74K Add 794.75K Reduce 668.53K Reduce 818.21K Add 728.37K Reduce 568.94K Reduce 157.44K Reduce 620.13K Add 1.03M Add 2.02M Add 1.39M Reduce 2.28M Add 3.09M Add
SU SUNCOR ENERGY INC NEW 6.21M New 6.37M Add 3.78M Reduce 3.80M Add 5.51M Add 1.87M Reduce 2.91M Add 3.24M Add 3.93M Add 8.76M Add 9.00M Add 6.02M Reduce 8.45M Add 6.39M Reduce 8.15M Add 10.56M Add 10.77M Add 7.86M Reduce 8.90M Add 8.69M Reduce
APH AMPHENOL CORP 552.02K New 168.57K Reduce 264.19K Add 417.39K Add 165.26K Reduce 24.06K Reduce 122.75K Add 275.45K Add 38.85K Reduce 20.01K Reduce 219.46K Add 246.62K Add 604.13K Add 449.65K Reduce 1.27M Add 947.35K Reduce 993.60K Add 1.56M Add 2.71M Add 2.40M Reduce
ANET ARISTA NETWORKS INC — — — — — — — — — — — — — 1.47M New 1.83M Add 2.24M Add 1.84M Reduce 2.20M Add 2.16M Reduce 2.48M Add
CCJ CAMECO CORP — — 800 New — 423.54K New 423.54K 423.54K 423.54K 423.54K 423.54K 423.54K 237.58K Reduce 20.38K Reduce 643.53K Add 2.03M Add 1.90M Reduce 1.98M Add 2.20M Add 2.47M Add 4.13M Add
EQH EQUITABLE HLDGS INC 18.00M New 18.24M Add 18.24M 18.24M 18.17M 18.17M 18.17M 18.17M 18.17M 18.17M 18.80M Add 18.65M Reduce 18.95M Add 19.03M 18.77M Reduce 17.62M Reduce 17.51M Reduce 19.28M Add 18.22M Reduce 9.11M Reduce
CHWY CHEWY INC — — — 316 New — 2.12K New 241.40K Add 432.50K Add 432.50K 320.70K Reduce 888.60K Add 342.00K Reduce 332.00K Reduce 814.60K Add 661.90K Reduce 512.50K Reduce 460.80K Reduce 4.40M Add 5.23M Add 20.18M Add
BSX BOSTON SCIENTIFIC CORP 7.27M New 7.49M Add 8.52M Add 6.14M Reduce 5.56M Reduce 5.58M 6.39M Add 6.74M Add 6.67M Reduce 6.87M Add 7.90M Add 7.44M Reduce 7.49M Add 7.29M Reduce 6.24M Reduce 4.72M Reduce 5.26M Add 6.86M Add 8.04M Add 9.26M Add
WAY WAYSTAR HLDG CORP — — — — — — — — — — — 37.21M New 37.21M 37.21M 29.69M Reduce 24.96M Reduce 19.03M Reduce 19.03M 19.03M 19.03M
NEE NEXTERA ENERGY INC 4.65M New 4.69M Add 3.50M Reduce 4.06M Add 3.87M Reduce 3.45M Reduce 3.48M Add 3.58M Add 3.70M Add 4.58M Add 4.04M Reduce 3.45M Reduce 3.28M Reduce 3.48M Add 2.52M Reduce 3.22M Add 3.99M Add 3.76M Reduce 4.86M Add 4.44M Reduce
DHR DANAHER CORP DEL 1.78M New 1.76M Reduce 1.30M Reduce 1.32M Add 1.38M Add 1.35M Reduce 1.36M 1.34M Reduce 1.41M Add 1.52M Add 1.43M Reduce 1.63M Add 1.49M Reduce 1.52M Add 1.89M Add 2.19M Add 2.39M Add 2.52M Add 2.45M Reduce 2.04M Reduce
VST VISTRA CORP 149.66K New 46 Reduce 10 Reduce 223.41K Add — 109.40K New 54.40K Reduce 27.10K Reduce 39.80K Add 255.30K Add 255.30K 255.30K 697.97K Add 664.27K Reduce 339.69K Reduce 421.00K Add 732.93K Add 1.25M Add 3.18M Add 2.45M Reduce
VTR VENTAS INC 1.56M New 1.89M Add 806.85K Reduce 808.25K 1.29M Add 1.63M Add 1.32M Reduce 1.40M Add 1.41M 1.71M Add 1.75M Add 1.76M 1.73M Reduce 1.58M Reduce 544.53K Reduce 412.06K Reduce 2.16M Add 3.33M Add 4.40M Add 4.37M Reduce

Showing the top 100 positions by latest reported value.