Mega
BlackRock, Inc.
21
$20,925,306,083
10.55%
149,509,189
8.547%
-4,271,127
-2.8%
Shares
2026-08-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BLACKROCK FINANCIAL MANAGEMENT INC/DE
5,527,190
$773,585,512
3.7%
Sole
BlackRock Investment Management (Australia) Ltd
1,530,992
$214,277,640
1.0%
Sole
BlackRock Asset Management Canada Ltd
1,620,099
$226,749,056
1.1%
Sole
BLACKROCK (SINGAPORE) LTD.
327,407
$45,823,883
0.2%
Sole
BlackRock Asset Management North Asia Ltd
297,712
$41,667,771
0.2%
Sole
BlackRock Investment Management, LLC
5,921,344
$828,751,306
4.0%
Sole
BLACKROCK ADVISORS LLC
8,020,127
$1,122,496,974
5.4%
Sole
BlackRock Fund Advisors
54,035,307
$7,562,781,567
36.1%
Sole
BlackRock Institutional Trust Company, N.A.
36,739,833
$5,142,107,026
24.6%
Sole
BlackRock Japan Co. Ltd
2,768,538
$387,484,578
1.9%
Sole
BlackRock Fund Managers Ltd.
1,924,833
$269,399,626
1.3%
Sole
BlackRock Investment Management (UK) Ltd.
3,450,943
$482,993,982
2.3%
Sole
BlackRock (Netherlands) B.V.
5,467,145
$765,181,614
3.7%
Sole
BlackRock International, Ltd.
162,100
$22,687,516
0.1%
Sole
BlackRock Asset Management Ireland Ltd
15,575,086
$2,179,889,036
10.4%
Sole
BlackRock Advisors (UK) Ltd
680,242
$95,206,670
0.5%
Sole
BlackRock (Luxembourg) S.A.
2,293,859
$321,048,505
1.5%
Sole
BlackRock Life Ltd
578,915
$81,024,943
0.4%
Sole
BlackRock Asset Management Schweiz AG
64,404
$9,013,983
0.0%
Sole
Aperio Group, LLC
2,501,869
$350,161,585
1.7%
Sole
SpiderRock Advisors, LLC
21,244
$2,973,310
0.0%
Sole
Mega
VANGUARD CAPITAL MANAGEMENT LLC
$15,007,936,272
7.57%
107,230,182
6.130%
-2,428,174
-2.2%
Shares
2026-08-13
Mega
STATE STREET CORP
1
$10,904,062,323
5.50%
77,908,419
4.454%
-134,229
-0.2%
Shares
2026-08-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
STATE STREET GLOBAL ADVISORS (JAPAN) CO., LTD.
joint
77,908,419
$10,904,062,323
100.0%
Defined
Mega
GEODE CAPITAL MANAGEMENT, LLC
2
$5,746,039,045
2.90%
41,054,866
2.347%
-1,257,916
-3.0%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
GEODE CAPITAL MANAGEMENT TRUST COMPANY, LLC
5,563,944
$778,729,602
13.6%
Defined
Held directly
35,490,922
$4,967,309,443
86.4%
Defined
Mega
Fisher Asset Management, LLC
$5,102,404,433
2.57%
36,456,162
2.084%
+1,237,166
+3.5%
Shares
2026-08-04
Mega
FRANKLIN RESOURCES INC
12
$5,040,526,432
2.54%
36,014,050
2.059%
-2,957,265
-7.6%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Brandywine Global Investment Management, LLC
1,908,013
$267,045,499
5.3%
Defined
FIDUCIARY TRUST CO INTERNATIONAL
13,897
$1,945,024
0.0%
Defined
Fiduciary Trust Co International of Pennsylvania
27,997
$3,918,460
0.1%
Defined
Fiduciary Trust International of California
145
$20,294
0.0%
Defined
Fiduciary Trust International of the South
2,455
$343,601
0.0%
Defined
FIDUCIARY TRUST INTERNATIONAL LLC
23,577
$3,299,836
0.1%
Defined
FRANKLIN ADVISERS INC
2,052,428
$287,257,822
5.7%
Defined
FRANKLIN ADVISORY SERVICES LLC
288,328
$40,354,386
0.8%
Defined
Franklin Templeton International Services S.a r.l
24,267
$3,396,409
0.1%
Defined
PUTNAM INVESTMENT MANAGEMENT LLC
24,178,271
$3,383,990,809
67.1%
Defined
PUTNAM ADVISORY CO LLC
7,485,302
$1,047,642,867
20.8%
Other
Held directly
9,370
$1,311,425
0.0%
Defined
Mega
Capital World Investors
1
$4,706,353,883
2.37%
33,626,421
1.922%
-7,094,438
-17.4%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
CAPITAL GROUP COMPANIES INC
joint
33,626,421
$4,706,353,883
100.0%
Defined
Mega
VANGUARD PORTFOLIO MANAGEMENT LLC
$4,530,588,896
2.28%
32,370,598
1.850%
-87,148
-0.3%
Shares
2026-08-13
Mega
FMR LLC
6
$4,429,538,893
2.23%
31,648,606
1.809%
+1,692,344
+5.6%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Fidelity Management & Research Co LLC
19,882,137
$2,782,703,894
62.8%
Defined
FIDELITY MANAGEMENT TRUST CO
1,428,219
$199,893,531
4.5%
Defined
STRATEGIC ADVISERS LLC
5,210,926
$729,321,202
16.5%
Defined
Fidelity Institutional Asset Management Trust Co
29,270
$4,096,629
0.1%
Defined
FIAM LLC
4,749,384
$664,723,784
15.0%
Defined
Fidelity Diversifying Solutions LLC
348,670
$48,799,853
1.1%
Defined
Mega
MORGAN STANLEY
16
$3,934,175,377
1.98%
28,109,284
1.607%
+267,198
+1.0%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
MORGAN STANLEY & CO INTERNATIONAL PLC
24,393
$3,414,044
0.1%
Defined
MORGAN STANLEY & CO. LLC
1,432,222
$200,453,791
5.1%
Defined
MORGAN STANLEY CAPITAL SERVICES, LLC
3,582,228
$501,368,630
12.7%
Defined
MORGAN STANLEY AIP GP LP
4,318
$604,346
0.0%
Defined
MORGAN STANLEY INVESTMENT MANAGEMENT INC
102,188
$14,302,232
0.4%
Defined
Morgan Stanley Investment Management LTD
183,253
$25,648,089
0.7%
Defined
MORGAN STANLEY SMITH BARNEY LLC
11,927,974
$1,669,439,240
42.4%
Defined
Morgan Stanley Strategic Investments, Inc
126
$17,634
0.0%
Defined
Morgan Stanley Wealth Management Australia Pty Ltd
2,820
$394,687
0.0%
Defined
Morgan Stanley Bank Asia Ltd
5,404
$756,343
0.0%
Defined
Morgan Stanley Bank, N.A.
123,170
$17,238,873
0.4%
Defined
PARAMETRIC PORTFOLIO ASSOCIATES LLC
9,066,153
$1,268,898,773
32.3%
Defined
EATON VANCE MANAGEMENT
301,080
$42,139,156
1.1%
Defined
Calvert Research & Management
431,938
$60,454,041
1.5%
Defined
BOSTON MANAGEMENT & RESEARCH
885,439
$123,926,042
3.1%
Defined
Eaton Vance Advisers International Ltd
36,578
$5,119,456
0.1%
Defined
Mega
BANK OF AMERICA CORP /DE/
Bank
7
$3,780,881,676
1.91%
27,014,016
1.544%
+145,004
+0.5%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BANK OF AMERICA NA
9,825,497
$1,375,176,560
36.4%
Defined
MERRILL LYNCH, PIERCE, FENNER & SMITH INC.
8,074,427
$1,130,096,802
29.9%
Defined
BOFA SECURITIES, INC.
491,290
$68,760,948
1.8%
Defined
MERRILL LYNCH INTERNATIONAL
322,692
$45,163,972
1.2%
Defined
U.S. TRUST Co OF DELAWARE
63,613
$8,903,275
0.2%
Defined
MANAGED ACCOUNT ADVISORS LLC
joint
8,228,452
$1,151,654,141
30.5%
Defined
BofA Securities Europe SA
8,045
$1,125,978
0.0%
Defined
Mega
JPMORGAN CHASE & CO
14
$3,655,921,183
1.84%
26,121,186
1.493%
+4,322,234
+19.8%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
J.P. Morgan Trust Co of Delaware
51,970
$7,273,720
0.2%
Other
JPMorgan Chase Bank, N.A.
2,269,643
$317,659,233
8.7%
Other
J.P. Morgan Investment Management Inc.
18,353,699
$2,568,783,711
70.3%
Other
J.P. Morgan Securities LLC
2,241,446
$313,712,781
8.6%
Defined
JPMorgan Asset Management (UK) Ltd
1,574,144
$220,317,194
6.0%
Defined
JPMorgan Asset Management (Canada) Inc.
147,387
$20,628,284
0.6%
Defined
J.P. Morgan Private Investments Inc.
182
$25,472
0.0%
Defined
J.P. Morgan (Suisse) SA
19,706
$2,758,051
0.1%
Other
JPMorgan Asset Management (Asia Pacific) Ltd
92,621
$12,963,235
0.4%
Defined
JPMorgan Asset Management (Japan) Ltd
68,363
$9,568,085
0.3%
Defined
JPMorgan Asset Management (Taiwan) Ltd
14,200
$1,987,432
0.1%
Defined
55I, LLC
12,168
$1,703,032
0.0%
Other
J.P. Morgan SE
72,164
$10,100,073
0.3%
Defined
J.P. MORGAN MANSART MANAGEMENT Ltd
1,203,493
$168,440,880
4.6%
Defined
Mega
PRICE T ROWE ASSOCIATES INC /MD/
3
$3,259,850,347
1.64%
23,291,300
1.331%
-3,140,343
-11.9%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
T. Rowe Price International Ltd
2,695,670
$377,285,973
11.6%
Defined
T. Rowe Price Australia Limited
245
$34,290
0.0%
Defined
Held directly
20,595,385
$2,882,530,084
88.4%
Sole
Mega
Bank of New York Mellon Corp
Bank
9
$3,244,601,973
1.64%
23,182,352
1.325%
-252,433
-1.1%
Shares
2026-08-06
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BNY Mellon Trust of Delaware
joint
20,593
$2,882,194
0.1%
Defined
Mellon Investments Corporation
joint
14,030,293
$1,963,679,806
60.5%
Defined
BNY Mellon Investment Adviser, Inc.
112,460
$15,739,901
0.5%
Defined
BNY Mellon Securities Corporation
196,001
$27,432,299
0.8%
Defined
The Bank of New York Mellon
3,115,763
$436,082,189
13.4%
Defined
BNY Mellon, NA
joint
1,023,529
$143,253,117
4.4%
Defined
BNY Mellon Advisors, Inc.
joint
274,116
$38,365,274
1.2%
Other
Newton Investment Management North America, LLC
joint
4,409,595
$617,166,914
19.0%
Defined
Held directly
2
$279
0.0%
Defined
Mega
NORGES BANK
Bank
$2,698,428,100
1.36%
19,279,995
1.102%
New
Shares
2026-08-12
Mega
NORTHERN TRUST CORP
Bank
9
$2,549,921,857
1.29%
18,218,933
1.041%
-652,625
-3.5%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
NORTHERN TRUST CO
joint
14,374,540
$2,011,860,617
78.9%
Defined
NORTHERN TRUST GLOBAL INVESTMENTS LTD
2,862,859
$400,685,744
15.7%
Defined
NT Global Advisors, Inc
17,919
$2,507,943
0.1%
Defined
Northern Trust Asset Management Australia Pty Ltd
641,584
$89,796,096
3.5%
Defined
Northern Trust Co of Hong Kong Ltd
75,758
$10,603,089
0.4%
Defined
STATE FARM INVESTMENT MANAGEMENT CORP
joint
169,900
$23,779,204
0.9%
Other
DWS INVESTMENT MANAGEMENT AMERICAS, INC
joint
76,367
$10,688,325
0.4%
Other
Green Century Capital Management, Inc.
joint
0
$0
0.0%
Other
MILFAM LLC
joint
6
$839
0.0%
Other
Mega
ROYAL BANK OF CANADA
Bank
17
$2,150,151,868
1.08%
15,362,617
0.878%
+6,761,065
+78.6%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
RBC Global Asset Management Inc.
3,371,924
$471,934,483
21.9%
Defined
RBC CMA LTD.
8,175
$1,144,173
0.1%
Defined
RBC Capital Markets, LLC
1,755,487
$245,697,960
11.4%
Defined
RBC Dominion Securities Inc.
767,260
$107,385,709
5.0%
Defined
RBC Phillips, Hager & North Investment Counsel Inc.
59,569
$8,337,277
0.4%
Defined
RBC Private Counsel (USA) Inc.
26,375
$3,691,445
0.2%
Defined
ROYAL TRUST CORP OF CANADA/
357
$49,965
0.0%
Defined
RBC Trust Co (Delaware) Ltd
19,437
$2,720,402
0.1%
Defined
RBC GLOBAL ASSET MANAGEMENT (UK) Ltd
5,843,757
$817,892,229
38.0%
Defined
Royal Bank of Canada (Channel Islands) Ltd
49,747
$6,962,590
0.3%
Defined
CITY NATIONAL BANK
390,903
$54,710,783
2.5%
Defined
RBC Rochdale, LLC
1,721,504
$240,941,699
11.2%
Defined
RBC Trust Co (International) Ltd
158
$22,113
0.0%
Defined
RBC Dominion Securities Global Ltd
1,670
$233,733
0.0%
Defined
RBC Europe Ltd
20,687
$2,895,352
0.1%
Defined
BREWIN DOLPHIN WEALTH MANAGEMENT LTD
4,600
$643,816
0.0%
Defined
Held directly
1,321,007
$184,888,139
8.6%
Sole
Mega
Invesco Ltd.
11
$2,146,762,453
1.08%
15,338,400
0.877%
-967,617
-5.9%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Invesco Advisers, Inc.
joint
5,131,194
$718,161,910
33.5%
Defined
Invesco Canada Ltd.
joint
7,756
$1,085,529
0.1%
Defined
Invesco Trust Co
joint
710,189
$99,398,052
4.6%
Defined
Invesco Hong Kong Limited
joint
68,001
$9,517,419
0.4%
Defined
Invesco Asset Management Limited
joint
56,769
$7,945,388
0.4%
Defined
Invesco Management S.A.
552,294
$77,299,068
3.6%
Defined
Invesco Asset Management (Japan) Limited
joint
99,064
$13,864,995
0.6%
Defined
Invesco Australia Ltd
joint
1,205
$168,651
0.0%
Defined
Invesco Investment Advisers LLC
33,391
$4,673,404
0.2%
Defined
Invesco Capital Management LLC
8,669,084
$1,213,324,996
56.5%
Defined
Invesco Asset Management Singapore Ltd
joint
9,453
$1,323,041
0.1%
Defined
Mega
Nuveen, LLC
3
$1,822,996,073
0.92%
13,025,122
0.745%
+561,732
+4.5%
Shares
2026-08-11
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Nuveen Asset Management, LLC
joint
1,786,380
$250,021,744
13.7%
Defined
TIAA CREF INVESTMENT MANAGEMENT LLC
joint
6,379,029
$892,808,898
49.0%
Defined
TEACHERS ADVISORS, LLC
joint
4,859,713
$680,165,431
37.3%
Defined
Mega
Legal & General Group Plc
2
$1,754,991,330
0.88%
12,539,235
0.717%
-1,084,096
-8.0%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Legal & General Investment Management America Inc
4,829,223
$675,898,051
38.5%
Defined
Legal & General Investment Management Ltd
joint
7,710,012
$1,079,093,279
61.5%
Defined
Mega
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC
5
$1,745,001,260
0.88%
12,467,857
0.713%
+1,210,006
+10.7%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
UBS Group AG
1,793,409
$251,005,523
14.4%
Defined
UBS Asset Management Switzerland AG
3,184,393
$445,687,643
25.5%
Defined
UBS Asset Management (UK) Ltd.
3,912,131
$547,541,854
31.4%
Defined
UBS Asset Management Life Ltd.
261,831
$36,645,866
2.1%
Defined
Held directly
3,316,093
$464,120,374
26.6%
Defined
Mega
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
$1,705,997,492
0.86%
12,189,179
0.697%
-428,350
-3.4%
Shares
2026-08-14
Mega
Amundi
2
$1,663,192,683
0.84%
11,883,343
0.679%
-243,480
-2.0%
Shares
2026-08-11
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Amundi Asset Management
joint
11,150,847
$1,560,672,543
93.8%
Defined
CPR Asset Management
732,496
$102,520,140
6.2%
Defined
Mega
GOLDMAN SACHS GROUP INC
5
$1,631,278,025
0.82%
11,655,316
0.666%
+1,565,985
+15.5%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
GOLDMAN SACHS & CO. LLC
2,416,337
$338,190,526
20.7%
Defined
GOLDMAN SACHS ASSET MANAGEMENT, L.P.
8,978,965
$1,256,695,941
77.0%
Defined
GOLDMAN SACHS INTERNATIONAL
111,071
$15,545,497
1.0%
Defined
GOLDMAN SACHS WEALTH SERVICES, L.P.
6,055
$847,457
0.1%
Defined
Goldman Sachs Trust Company, N.A.
142,888
$19,998,604
1.2%
Defined
Large
Artisan Partners Limited Partnership
$1,589,305,422
0.80%
11,355,426
0.649%
-142,536
-1.2%
Shares
2026-08-13
Mega
MASSACHUSETTS FINANCIAL SERVICES CO /MA/
7
$1,531,991,379
0.77%
10,945,923
0.626%
-2,408,779
-18.0%
Shares
2026-08-03
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
MFS Institutional Advisors, Inc.
1,139,070
$159,424,237
10.4%
Defined
MFS Investment Management CO (LUX) S.A.R.L.
243,341
$34,058,006
2.2%
Defined
MFS International (U.K.) Ltd.
316,578
$44,308,256
2.9%
Defined
MFS Heritage Trust CO
691,627
$96,800,114
6.3%
Defined
MFS INVESTMENT MANAGEMENT CANADA LTD
42,984
$6,016,040
0.4%
Defined
MFS International Australia Pty Ltd
12,984
$1,817,240
0.1%
Defined
Held directly
8,499,339
$1,189,567,486
77.6%
Sole
Mega
SUSQUEHANNA INTERNATIONAL GROUP, LLP
2
$1,496,060,432
0.75%
10,689,200
0.611%
-616,000
-5.4%
Put
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
SUSQUEHANNA INVESTMENT GROUP
184,100
$25,766,636
1.7%
Other
SUSQUEHANNA SECURITIES, LLC
10,505,100
$1,470,293,796
98.3%
Other
Mega
AMERIPRISE FINANCIAL INC
6
$1,466,247,689
0.74%
10,476,191
0.599%
-1,152,895
-9.9%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Columbia Management Investment Advisers, LLC
joint
8,288,910
$1,160,115,843
79.1%
Defined
Ameriprise Trust Co
4,875
$682,305
0.0%
Defined
Threadneedle Asset Management Holdings LTD
595,211
$83,305,731
5.7%
Defined
Ameriprise Financial Services, LLC
joint
1,402,615
$196,309,994
13.4%
Defined
Ameriprise Bank, FSB
6,547
$916,318
0.1%
Defined
Columbia Threadneedle Management Ltd
178,033
$24,917,498
1.7%
Defined
Mega
Swedbank AB
Bank
3
$1,407,931,257
0.71%
10,059,526
0.575%
+357,658
+3.7%
Shares
2026-07-15
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Swedbank Robur Fonder AB
10,036,429
$1,404,698,602
99.8%
Defined
Swedbank investiciju valdymas, UAB
22,837
$3,196,266
0.2%
Defined
Held directly
260
$36,389
0.0%
Sole
Mega
SUSQUEHANNA INTERNATIONAL GROUP, LLP
2
$1,312,166,988
0.66%
9,375,300
0.536%
-5,207,500
-35.7%
Call
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
SUSQUEHANNA INVESTMENT GROUP
560,000
$78,377,600
6.0%
Other
SUSQUEHANNA SECURITIES, LLC
8,815,300
$1,233,789,388
94.0%
Other
Mega
VANGUARD FIDUCIARY TRUST CO
Bank
$1,299,910,690
0.66%
9,287,730
0.531%
-243,395
-2.6%
Shares
2026-08-13
Mega
WELLS FARGO & COMPANY/MN
6
$1,275,384,378
0.64%
9,112,492
0.521%
-178,995
-1.9%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
WELLS FARGO BANK N A
1,267,110
$177,344,715
13.9%
Defined
WELLS FARGO ADVISORS FINANCIAL NETWORK, LLC
1,792,592
$250,891,176
19.7%
Defined
WELLS FARGO CLEARING SERVICES, LLC
4,514,274
$631,817,789
49.5%
Defined
WELLS FARGO DELAWARE TRUST CO, N.A.
9,654
$1,351,173
0.1%
Defined
Wells Fargo Securities, LLC
101,796
$14,247,368
1.1%
Defined
WELLS FARGO INVESTMENT INSTITUTE, INC.
1,427,066
$199,732,157
15.7%
Defined
Mega
CITADEL ADVISORS LLC
2
$1,226,189,560
0.62%
8,761,000
0.501%
-248,900
-2.8%
Put
2026-09-02
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Citadel Securities GP LLC
8,752,800
$1,225,041,888
99.9%
Defined
Held directly
8,200
$1,147,672
0.1%
Defined
Large
HARRIS ASSOCIATES L P
2
$1,224,851,961
0.62%
8,751,443
0.500%
-519,209
-5.6%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
NATIXIS ADVISORS, LLC
375,588
$52,567,296
4.3%
Other
Held directly
8,375,855
$1,172,284,665
95.7%
Sole
Mega
NORDEA INVESTMENT MANAGEMENT AB
3
$1,154,161,664
0.58%
8,246,368
0.471%
+68,376
+0.8%
Shares
2026-08-05
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Nordea Funds Ltd
4,752,353
$665,139,325
57.6%
Defined
Nordea Investment Funds S.A.
2,790,824
$390,603,727
33.8%
Defined
Held directly
703,191
$98,418,612
8.5%
Sole
Mega
DIMENSIONAL FUND ADVISORS LP
5
$1,116,412,352
0.56%
7,976,653
0.456%
+52,994
+0.7%
Shares
2026-08-11
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Dimensional Fund Advisors Ltd.
58,925
$8,247,143
0.7%
Defined
DFA Australia Ltd.
472,807
$66,174,067
5.9%
Defined
Dimensional Fund Advisors Pte. Ltd.
21,146
$2,959,594
0.3%
Defined
Dimensional Ireland Ltd
379,087
$53,057,016
4.8%
Defined
Held directly
7,044,688
$985,974,532
88.3%
Sole
Mega
DZ BANK AG Deutsche Zentral Genossenschafts Bank, Frankfurt am Main
Bank
3
$1,089,628,347
0.55%
7,785,284
0.445%
+1,077,987
+16.1%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
DZ PRIVATBANK AG
joint
317,386
$44,421,344
4.1%
Defined
UNION ASSET MANAGEMENT HOLDING AG
joint
7,467,879
$1,045,204,344
95.9%
Defined
Held directly
19
$2,659
0.0%
Sole
Large
THORNBURG INVESTMENT MANAGEMENT INC
$1,056,234,172
0.53%
7,546,686
0.431%
-441,524
-5.5%
Shares
2026-08-13
Mega
JANE STREET GROUP, LLC
1
$1,054,990,488
0.53%
7,537,800
0.431%
-1,034,100
-12.1%
Put
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Jane Street Capital, LLC
7,537,800
$1,054,990,488
100.0%
Defined
Mega
BARCLAYS PLC
7
$870,212,775
0.44%
6,217,582
0.355%
+1,511,727
+32.1%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BARCLAYS BANK PLC
4,023,231
$563,091,410
64.7%
Defined
BARCLAYS CAPITAL INC.
53,700
$7,515,852
0.9%
Defined
BARCLAYS CAPITAL SECURITIES LTD
1,219,824
$170,726,567
19.6%
Defined
Barclays Bank (Suisse) SA
264,700
$37,047,412
4.3%
Defined
Barclays Capital Luxembourg SaRL
52,320
$7,322,707
0.8%
Defined
Barclays Bank Ireland PLC
111,170
$15,559,353
1.8%
Defined
Barclays Investment Solutions Ltd
492,637
$68,949,474
7.9%
Defined
Mega
AQR CAPITAL MANAGEMENT LLC
11
$853,251,719
0.43%
6,096,397
0.349%
+674,103
+12.4%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Petros Family Wealth, LLC
209
$29,251
0.0%
Other
KEB ASSET MANAGEMENT, LLC
195
$27,292
0.0%
Other
RF&L WEALTH MANAGEMENT, LLC
98
$13,716
0.0%
Other
Prism Planning Partners LLC
581
$81,316
0.0%
Other
Compound Planning, Inc.
90
$12,596
0.0%
Other
Arax Advisory Partners
57,157
$7,999,693
0.9%
Other
Alaska Permanent Fund Corp
44,984
$6,295,960
0.7%
Other
HALBERT HARGROVE GLOBAL ADVISORS, LLC
23,795
$3,330,348
0.4%
Other
Stokes Family Office, LLC
11,624
$1,626,895
0.2%
Other
NATIONAL MUTUAL FUNDS MANAGEMENT LTD
110,987
$15,533,740
1.8%
Other
Held directly
5,846,677
$818,300,912
95.9%
Defined
Mega
CITADEL ADVISORS LLC
2
$852,426,380
0.43%
6,090,500
0.348%
-1,203,000
-16.5%
Call
2026-09-02
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Citadel Securities GP LLC
6,081,600
$851,180,736
99.9%
Defined
Held directly
8,900
$1,245,644
0.1%
Defined
Mega
UBS Group AG
7
$849,520,668
0.43%
6,069,739
0.347%
-899,768
-12.9%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
UBS Financial Services Inc
2,218,004
$310,431,839
36.5%
Defined
UBS AG
2,856,484
$399,793,500
47.1%
Defined
UBS Switzerland AG
835,824
$116,981,927
13.8%
Defined
UBS Europe SE
139,896
$19,579,844
2.3%
Defined
UBS Bank (Canada)
325
$45,487
0.0%
Defined
UBS Securities LLC
18,406
$2,576,103
0.3%
Defined
Held directly
800
$111,968
0.0%
Defined
Large
ACADIAN ASSET MANAGEMENT LLC
1
$838,631,082
0.42%
5,991,934
0.343%
+2,022,471
+51.0%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Acadian Inc
5,991,934
$838,631,082
100.0%
Defined
Mega
TWO SIGMA INVESTMENTS, LP
$831,086,118
0.42%
5,938,026
0.339%
+1,636,159
+38.0%
Shares
2026-08-14
Mega
HSBC HOLDINGS PLC
12
$824,604,286
0.42%
5,891,714
0.337%
+584,422
+11.0%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
HSBC Bank USA, N.A.
594,596
$83,219,655
10.1%
Defined
HSBC Global Asset Management (Hong Kong) Ltd
75
$10,497
0.0%
Defined
HSBC International Trustee Ltd.
14,661
$2,051,953
0.2%
Defined
HSBC Global Asset Management (UK) Ltd
2,936,557
$411,000,517
49.8%
Defined
HSBC GLOBAL ASSET MANAGEMENT (FRANCE)
264,750
$37,054,410
4.5%
Defined
HSBC Trinkaus & Burkhardt AG, Germany
44,645
$6,248,514
0.8%
Defined
Hang Seng Investment Management Ltd
93,207
$13,045,251
1.6%
Defined
HSBC BANK PLC
1,928,188
$269,869,192
32.7%
Defined
HSBC GLOBAL ASSET MANAGEMENT (MEXICO), SA DE CV, SOCIEDAD OPERADORA DE FONDOS DE INVERSION, GRUPO FINANCIERO HSBC
1,023
$143,179
0.0%
Defined
HSBC GLOBAL ASSET MANAGEMENT (DEUTSCHLAND) GMBH
7,989
$1,118,140
0.1%
Defined
HSBC SECURITIES USA INC
782
$109,448
0.0%
Defined
Held directly
5,241
$733,530
0.1%
Defined
Mega
DEUTSCHE BANK AG\
Bank
15
$817,995,091
0.41%
5,844,492
0.334%
-1,864,614
-24.2%
Shares
2026-08-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Deutsche Bank Trust Co Americas
119,319
$16,699,886
2.0%
Defined
DWS Investment GmbH
391,329
$54,770,406
6.7%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
250,400
$35,045,984
4.3%
Defined
Deutsche Bank (Suisse) SA
121,615
$17,021,235
2.1%
Defined
DEUTSCHE BANK NATIONAL TRUST Co
25,233
$3,531,609
0.4%
Defined
Deutsche Bank Trust Co Delaware
4,371
$611,765
0.1%
Defined
DEUTSCHE BANK TRUST COMPANY, NATIONAL ASSOCIATION
77,142
$10,796,794
1.3%
Defined
DWS Investments UK Ltd
3,735,005
$522,751,299
63.9%
Defined
DBX Advisors LLC
213,000
$29,811,480
3.6%
Defined
Deutsche Bank S.p.A
69,007
$9,658,219
1.2%
Defined
DWS Investments Hong Kong Ltd
84,256
$11,792,469
1.4%
Defined
DWS International GmbH
617,776
$86,463,928
10.6%
Defined
DB UK Bank Ltd
16,500
$2,309,340
0.3%
Defined
Deutsche Bank Luxembourg S.A.
56,133
$7,856,374
1.0%
Defined
Held directly
63,406
$8,874,303
1.1%
Sole
Mega
JANE STREET GROUP, LLC
1
$817,422,384
0.41%
5,840,400
0.334%
+544,400
+10.3%
Call
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Jane Street Capital, LLC
5,840,400
$817,422,384
100.0%
Defined
Mega
California Public Employees Retirement System
Pension
$798,508,469
0.40%
5,705,262
0.326%
+1,581,295
+38.3%
Shares
2026-08-14
Large
LSV ASSET MANAGEMENT
$792,858,704
0.40%
5,664,895
0.324%
+38,009
+0.7%
Shares
2026-08-06
Mega
BANK OF MONTREAL /CAN/
Bank
9
$786,345,942
0.40%
5,618,362
0.321%
-1,082,287
-16.2%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BMO Asset Management Inc.
1,004,538
$140,595,138
17.9%
Defined
BMO Bank N.A.
937,868
$131,264,005
16.7%
Defined
BMO Delaware Trust Co
8,880
$1,242,844
0.2%
Defined
BMO Family Office, LLC
39,099
$5,472,296
0.7%
Defined
BMO NESBITT BURNS INC.
2,015,746
$282,123,810
35.9%
Defined
BMO PRIVATE INVESTMENT COUNSEL INC.
63,755
$8,923,149
1.1%
Defined
BMO NESBITT BURNS SECURITIES LTD.
57,922
$8,106,763
1.0%
Defined
Stoker Ostler Wealth Advisors, Inc.
40,380
$5,651,584
0.7%
Defined
Held directly
1,450,174
$202,966,353
25.8%
Defined
Mega
D. E. Shaw & Co., Inc.
2
$786,032,435
0.40%
5,616,122
0.321%
+292,745
+5.5%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
D. E. SHAW & CO, L.P.
4,673,622
$654,120,135
83.2%
Defined
D. E. Shaw Investment Management, L.L.C.
joint
942,500
$131,912,300
16.8%
Defined
Large
PZENA INVESTMENT MANAGEMENT LLC
2
$776,608,508
0.39%
5,548,789
0.317%
-2,626,575
-32.1%
Shares
2026-08-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
ALPS ADVISORS INC
91,817
$12,850,707
1.7%
Defined
Held directly
5,456,972
$763,757,801
98.3%
Sole
Mega
UBS Group AG
1
$690,903,162
0.35%
4,936,433
0.282%
+3,865,859
+361.1%
Call
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
UBS AG
4,936,433
$690,903,162
100.0%
Defined
Mega
SG Americas Securities, LLC
Broker-Dealer
$640,276,411
0.32%
4,574,710
0.262%
+2,538,424
+124.7%
Shares
2026-08-07
Large
HOTCHKIS & WILEY CAPITAL MANAGEMENT LLC
$636,599,102
0.32%
4,548,436
0.260%
-2,477,512
-35.3%
Shares
2026-08-14
Mega
CANADA PENSION PLAN INVESTMENT BOARD
Pension
$624,049,729
0.31%
4,458,772
0.255%
+10,617
+0.2%
Shares
2026-08-14
Mega
Qube Research & Technologies Ltd
$602,023,664
0.30%
4,301,398
0.246%
+1,105,806
+34.6%
Shares
2026-08-14
Mega
Mitsubishi UFJ Asset Management Co., Ltd.
1
$582,622,408
0.29%
4,162,778
0.238%
+164,159
+4.1%
Shares
2026-08-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
MITSUBISHI UFJ FINANCIAL GROUP INC
4,162,778
$582,622,408
100.0%
Defined
Mega
ALLIANCEBERNSTEIN L.P.
1
$574,672,121
0.29%
4,105,974
0.235%
-52,886
-1.3%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mega
National Pension Service
Pension
$554,119,274
0.28%
3,959,126
0.226%
-91,981
-2.3%
Shares
2026-08-13
Mega
Sumitomo Mitsui Trust Group, Inc.
1
$543,791,346
0.27%
3,885,334
0.222%
-151,497
-3.8%
Shares
2026-07-30
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
SUMITOMO MITSUI TRUST BANK Ltd
3,885,334
$543,791,346
100.0%
Defined
Mega
JANE STREET GROUP, LLC
3
$512,511,685
0.26%
3,661,844
0.209%
-290,614
-7.4%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Jane Street Capital, LLC
1,136,794
$159,105,688
31.0%
Defined
Jane Street Global Trading, LLC
2,525,014
$353,400,959
69.0%
Defined
Jane Street Singapore Pte. Ltd
36
$5,038
0.0%
Defined
Mega
Russell Investments Group, Ltd.
9
$505,702,060
0.25%
3,613,190
0.207%
+468,546
+14.9%
Shares
2026-08-06
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Russell Investment Management Limited
166,437
$23,294,522
4.6%
Defined
Russell Investment Management, LLC
joint
1,247,947
$174,662,660
34.5%
Defined
Russell Investments Canada Limited
97,837
$13,693,266
2.7%
Defined
Russell Investments Capital, LLC
joint
339,113
$47,462,254
9.4%
Other
Russell Investments Implementation Services, LLC
60,733
$8,500,190
1.7%
Defined
Russell Investments Ireland Limited
joint
44,526
$6,231,858
1.2%
Other
Russell Investments Japan Co., LTD.
joint
243,389
$34,064,723
6.7%
Defined
Russell Investments Limited
joint
1,358,680
$190,160,850
37.6%
Defined
Russell Investments Trust Company
joint
54,528
$7,631,737
1.5%
Defined
Mega
Vanguard Global Advisers, LLC
$502,138,270
0.25%
3,587,727
0.205%
-81,029
-2.2%
Shares
2026-08-13
Mega
RAYMOND JAMES FINANCIAL INC
5
$487,290,612
0.25%
3,481,642
0.199%
-12,705
-0.4%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
RAYMOND JAMES & ASSOCIATES
2,614,513
$365,927,239
75.1%
Defined
Raymond James Financial Services Advisors, Inc.
619,285
$86,675,128
17.8%
Defined
ClariVest Asset Management LLC
joint
67
$9,377
0.0%
Defined
EAGLE ASSET MANAGEMENT INC
170,278
$23,832,108
4.9%
Defined
RAYMOND JAMES TRUST N.A.
77,499
$10,846,760
2.2%
Defined
Large
KBC Group NV
1
$468,088,521
0.24%
3,344,445
0.191%
-163,090
-4.6%
Shares
2026-08-05
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
KBC Bank NV
joint
3,344,445
$468,088,521
100.0%
Defined
Large
Nykredit A/S
1
$458,274,806
0.23%
3,274,327
0.187%
New
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Nykredit Bank A/S
joint
3,274,327
$458,274,806
100.0%
Defined
Large
VOYA INVESTMENT MANAGEMENT LLC
1
$448,270,185
0.23%
3,202,845
0.183%
+687,173
+27.3%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Voya Investment Management Co. LLC
joint
3,202,845
$448,270,185
100.0%
Defined
Mega
PRINCIPAL FINANCIAL GROUP INC
2
$447,275,627
0.23%
3,195,739
0.183%
+810,352
+34.0%
Shares
2026-08-04
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Manager 134
5,785
$809,668
0.2%
Defined
Held directly
3,189,954
$446,465,959
99.8%
Defined
Mega
VANGUARD ASSET MANAGEMENT, Ltd
$432,383,886
0.22%
3,089,339
0.177%
-39,159
-1.3%
Shares
2026-08-13
Mid
First Pacific Advisors, LP
$422,235,246
0.21%
3,016,828
0.172%
-158,384
-5.0%
Shares
2026-08-14
Mega
BNP PARIBAS ARBITRAGE, SA
$418,331,202
0.21%
2,988,934
0.171%
+452,714
+17.8%
Shares
2026-08-13
Large
Robeco Institutional Asset Management B.V.
$412,708,869
0.21%
2,948,763
0.169%
-56,792
-1.9%
Shares
2026-07-21
Mega
UBS Group AG
2
$401,811,723
0.20%
2,870,904
0.164%
+770,621
+36.7%
Put
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
UBS Financial Services Inc
3,296
$461,308
0.1%
Defined
UBS AG
2,867,608
$401,350,415
99.9%
Defined
Large
Caisse de depot et placement du Quebec
$397,601,167
0.20%
2,840,820
0.162%
-156,030
-5.2%
Shares
2026-08-14
Mega
RHUMBLINE ADVISERS
$393,686,206
0.20%
2,812,848
0.161%
-172,342
-5.8%
Shares
2026-08-12
Mega
ENVESTNET ASSET MANAGEMENT INC
$389,459,414
0.20%
2,782,648
0.159%
-120,807
-4.2%
Shares
2026-08-03
Mega
AMERICAN CENTURY COMPANIES INC
1
$371,895,693
0.19%
2,657,157
0.152%
+1,625,126
+157.5%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Large
Man Group plc
2
$370,473,279
0.19%
2,646,994
0.151%
+1,023,389
+63.0%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Large
PRUDENTIAL FINANCIAL INC
2
$361,089,941
0.18%
2,579,951
0.147%
-179,426
-6.5%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
PGIM Quantitative Solutions LLC
2,577,496
$360,746,340
99.9%
Defined
Prudential Trust Co
2,455
$343,601
0.1%
Defined
Mega
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
Pension
$360,205,534
0.18%
2,573,632
0.147%
-211,281
-7.6%
Shares
2026-08-24
Large
BESSEMER GROUP INC
6
$348,011,094
0.18%
2,486,504
0.142%
+36,230
+1.5%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BESSEMER INVESTMENT MANAGEMENT LLC
2,588
$362,216
0.1%
Defined
BESSEMER TRUST CO
39,781
$5,567,748
1.6%
Defined
BESSEMER TRUST Co NATIONAL ASSOCIATION
2,094,161
$293,098,772
84.2%
Defined
Bessemer Trust CO of Delaware, N.A.
143,210
$20,043,671
5.8%
Defined
BESSEMER TRUST Co OF FLORIDA
200,441
$28,053,721
8.1%
Defined
Bessemer Trust Co of Nevada, National Association
6,323
$884,966
0.3%
Defined
Large
BNP PARIBAS ASSET MANAGEMENT Holding S.A.
3
$337,889,331
0.17%
2,414,185
0.138%
-86,620
-3.5%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BNP PARIBAS ASSET MANAGEMENT Europe
2,373,380
$332,178,264
98.3%
Defined
ALFRED BERG KAPITALFORVALTNING AS
31,523
$4,411,959
1.3%
Defined
AXA INVESTMENT MANAGERS UK LIMITED
9,282
$1,299,108
0.4%
Defined
Mega
PRIMECAP MANAGEMENT CO/CA/
$326,610,656
0.16%
2,333,600
0.133%
-56,900
-2.4%
Shares
2026-08-14
Mega
LPL Financial LLC
$325,101,887
0.16%
2,322,820
0.133%
+90,182
+4.0%
Shares
2026-08-07
Large
MARSHALL WACE, LLP
2
$297,025,631
0.15%
2,122,218
0.121%
+1,595,118
+302.6%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Marshall Wace North America L.P.
joint
2,102,120
$294,212,715
99.1%
Other
Held directly
20,098
$2,812,916
0.9%
Sole
Large
SEI INVESTMENTS CO
2
$295,139,529
0.15%
2,108,742
0.121%
-51,608
-2.4%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
SEI INVESTMENTS MANAGEMENT CORP
865,192
$121,092,271
41.0%
Defined
SEI TRUST CO
1,243,550
$174,047,258
59.0%
Sole
Mid
ACR Alpine Capital Research, LLC
2
$290,515,251
0.15%
2,075,702
0.119%
-1,468,853
-41.4%
Shares
2026-07-29
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
ALPINE PRIVATE CAPITAL, LLC
282,469
$39,534,361
13.6%
Sole
Held directly
1,793,233
$250,980,890
86.4%
Sole
Large
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND
Pension
$290,503,775
0.15%
2,075,620
0.119%
+1,095,758
+111.8%
Shares
2026-08-13
Large
Ensign Peak Advisors, Inc
$286,264,246
0.14%
2,045,329
0.117%
+1,025,962
+100.6%
Shares
2026-08-14
Mega
FIRST TRUST ADVISORS LP
$279,016,978
0.14%
1,993,548
0.114%
+790,989
+65.8%
Shares
2026-08-11
Large
Eurizon Capital SGR S.p.A.
1
$275,264,790
0.14%
1,966,739
0.112%
-260,388
-11.7%
Shares
2026-07-29
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Intesa Sanpaolo S.p.A.
1,966,739
$275,264,790
100.0%
Other
Large
Cullen Capital Management, LLC
$270,018,529
0.14%
1,929,255
0.110%
-288,935
-13.0%
Shares
2026-08-13
Large
NEW YORK STATE COMMON RETIREMENT FUND
Pension
$265,942,194
0.13%
1,900,130
0.109%
-651,803
-25.5%
Shares
2026-07-29
Large
NATIXIS ADVISORS, LLC
2
$263,375,327
0.13%
1,881,790
0.108%
+37,193
+2.0%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Harris Associates L.P.
29,612
$4,144,495
1.6%
Other
Natixis Investment Managers, L.P.
1,852,178
$259,230,832
98.4%
Defined
Large
BANK OF NOVA SCOTIA
Bank
2
$262,379,651
0.13%
1,874,676
0.107%
-380,651
-16.9%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Scotia Fondos, S.A. de C.V., Sociedad Operadora de Fondos de Inversion, Grupo Financiero Scotiabank Inverlat
37,477
$5,245,280
2.0%
Defined
Held directly
1,837,199
$257,134,371
98.0%
Defined
Mid
Sarasin & Partners LLP
1
$259,866,951
0.13%
1,856,723
0.106%
+1,201,901
+183.5%
Shares
2026-07-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Sarasin Asset Management Ltd
1,856,723
$259,866,951
100.0%
Defined
Large
OMERS ADMINISTRATION Corp
$257,578,745
0.13%
1,840,374
0.105%
+1,691,611
+1137.1%
Shares
2026-08-13
Large
STIFEL FINANCIAL CORP
5
$257,087,343
0.13%
1,836,863
0.105%
+70,599
+4.0%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
STIFEL NICOLAUS & CO INC \MO\
1,805,877
$252,750,544
98.3%
Defined
Stifel Independent Advisors, LLC
1,768
$247,449
0.1%
Defined
1919 Investment Counsel, LLC
7,971
$1,115,621
0.4%
Defined
Stifel Trust Company, N.A.
16,009
$2,240,619
0.9%
Defined
Held directly
5,238
$733,110
0.3%
Defined
No holders match your search.