Mega
ROYAL BANK OF CANADA
Bank
13
$4,699,604,243
8.73%
54,236,633
6.170%
+1,284,174
+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
RBC Global Asset Management Inc.
24,866,678
$2,154,697,648
45.8%
Defined
RBC Capital Markets, LLC
721,520
$62,519,708
1.3%
Defined
RBC Dominion Securities Inc.
25,153,250
$2,179,529,112
46.4%
Defined
RBC Phillips, Hager & North Investment Counsel Inc.
1,294,821
$112,196,239
2.4%
Defined
RBC Private Counsel (USA) Inc.
695,493
$60,264,468
1.3%
Defined
ROYAL TRUST CORP OF CANADA/
10,987
$952,023
0.0%
Defined
RBC Trust Co (Delaware) Ltd
4,384
$379,873
0.0%
Defined
Royal Bank of Canada (Channel Islands) Ltd
80,137
$6,943,871
0.1%
Defined
CITY NATIONAL BANK
2,669
$231,268
0.0%
Defined
RBC Rochdale, LLC
9,386
$813,296
0.0%
Defined
RBC Dominion Securities Global Ltd
67,460
$5,845,409
0.1%
Defined
RBC Europe Ltd
32,734
$2,836,401
0.1%
Defined
Held directly
1,297,114
$112,394,927
2.4%
Defined
Large
TCI FUND MANAGEMENT LTD
$3,927,474,157
7.30%
45,325,726
5.156%
-1,196,197
-2.6%
Shares
2026-08-14
Mega
JPMORGAN CHASE & CO
13
$2,284,945,587
4.25%
26,369,828
3.000%
+10,625,372
+67.5%
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
J.P. Morgan Trust Co of Delaware
74,982
$6,497,189
0.3%
Other
JPMorgan Chase Bank, N.A.
3,627,735
$314,343,237
13.8%
Other
J.P. Morgan Investment Management Inc.
17,837,165
$1,545,590,346
67.6%
Other
J.P. Morgan Securities LLC
1,328,019
$115,072,846
5.0%
Defined
J.P. Morgan Securities plc
224,878
$19,485,678
0.9%
Defined
JPMorgan Asset Management (UK) Ltd
2,112,110
$183,014,331
8.0%
Defined
JPMorgan Asset Management (Canada) Inc.
326,544
$28,295,037
1.2%
Defined
J.P. Morgan Private Investments Inc.
198,634
$17,211,636
0.8%
Defined
J.P. Morgan (Suisse) SA
23,772
$2,059,843
0.1%
Other
JPMorgan Asset Management (Asia Pacific) Ltd
2,742
$237,594
0.0%
Defined
JPMorgan Asset Management (Japan) Ltd
489,801
$42,441,256
1.9%
Defined
55I, LLC
2,431
$210,645
0.0%
Other
J.P. Morgan SE
121,015
$10,485,949
0.5%
Defined
Mega
VANGUARD CAPITAL MANAGEMENT LLC
$2,128,610,366
3.96%
24,565,613
2.794%
-101,082
-0.4%
Shares
2026-08-13
Mega
FMR LLC
5
$2,107,001,587
3.92%
24,316,233
2.766%
+4,157,528
+20.6%
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
20,546,963
$1,780,394,343
84.5%
Defined
STRATEGIC ADVISERS LLC
234,928
$20,356,511
1.0%
Defined
Fidelity Institutional Asset Management Trust Co
3,127,073
$270,960,875
12.9%
Defined
FIAM LLC
407,109
$35,275,994
1.7%
Defined
Fidelity Diversifying Solutions LLC
160
$13,864
0.0%
Defined
Mega
FIL Ltd
3
$1,838,617,510
3.42%
21,218,898
2.414%
+217,831
+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
FIL Investment Advisors
136,926
$11,864,637
0.6%
Defined
FIL Investments International
849,205
$73,583,613
4.0%
Defined
Fidelity Investments Canada ULC
20,232,767
$1,753,169,260
95.4%
Defined
Mega
Invesco Ltd.
8
$1,773,296,405
3.30%
20,465,048
2.328%
-1,813,742
-8.1%
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
Invesco Advisers, Inc.
joint
888,545
$76,992,423
4.3%
Defined
Invesco Trust Co
joint
4,988
$432,210
0.0%
Defined
Invesco Hong Kong Limited
joint
5,669
$491,218
0.0%
Defined
Invesco Asset Management Limited
4,456,287
$386,137,268
21.8%
Defined
Invesco Management S.A.
24,014
$2,080,813
0.1%
Defined
Invesco Asset Management (Japan) Limited
joint
14,799,857
$1,282,407,608
72.3%
Defined
Invesco Australia Ltd
62,540
$5,419,091
0.3%
Defined
Invesco Capital Management LLC
223,148
$19,335,774
1.1%
Defined
Mega
BANK OF MONTREAL /CAN/
Bank
10
$1,723,146,935
3.20%
19,886,289
2.262%
+206,615
+1.0%
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
BMO Asset Management Inc.
8,782,663
$761,017,748
44.2%
Defined
BMO Bank N.A.
5,280
$457,512
0.0%
Defined
BMO Delaware Trust Co
475
$41,158
0.0%
Defined
BMO Family Office, LLC
5,492
$475,881
0.0%
Defined
BMO NESBITT BURNS INC.
7,042,515
$610,233,924
35.4%
Defined
BMO PRIVATE INVESTMENT COUNSEL INC.
1,820,192
$157,719,636
9.2%
Defined
Burgundy Asset Management Ltd.
3,521
$305,094
0.0%
Defined
BMO NESBITT BURNS SECURITIES LTD.
85,962
$7,448,607
0.4%
Defined
Stoker Ostler Wealth Advisors, Inc.
506
$43,844
0.0%
Defined
Held directly
2,139,683
$185,403,531
10.8%
Defined
Large
MACKENZIE FINANCIAL CORP
$1,477,323,491
2.75%
17,049,319
1.939%
+1,423,357
+9.1%
Shares
2026-08-13
Large
WCM INVESTMENT MANAGEMENT, LLC
$1,324,169,009
2.46%
15,281,812
1.738%
-802,508
-5.0%
Shares
2026-08-13
Mega
TD Asset Management Inc
$1,264,089,972
2.35%
14,588,459
1.660%
-4,241,354
-22.5%
Shares
2026-08-04
Large
1832 Asset Management L.P.
$1,220,607,615
2.27%
14,086,643
1.602%
-56,187
-0.4%
Shares
2026-08-13
Mega
NORGES BANK
Bank
$1,184,655,057
2.20%
13,671,726
1.555%
New
Shares
2026-08-12
Mega
GEODE CAPITAL MANAGEMENT, LLC
2
$847,253,734
1.57%
9,777,885
1.112%
+973,409
+11.1%
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
1,236,499
$107,142,638
12.6%
Defined
Held directly
8,541,386
$740,111,096
87.4%
Defined
Mega
GOLDMAN SACHS GROUP INC
4
$806,425,206
1.50%
9,306,696
1.059%
+1,384,860
+17.5%
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
8,222,584
$712,486,903
88.4%
Defined
GOLDMAN SACHS ASSET MANAGEMENT, L.P.
1,054,199
$91,346,343
11.3%
Defined
GOLDMAN SACHS WEALTH SERVICES, L.P.
4,226
$366,182
0.0%
Defined
Goldman Sachs Trust Company, N.A.
25,687
$2,225,778
0.3%
Defined
Large
Connor, Clark & Lunn Investment Management Ltd.
2
$803,329,722
1.49%
9,270,972
1.055%
+2,193,094
+31.0%
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
Manager 1
9,269,666
$803,216,558
100.0%
Sole
Held directly
1,306
$113,164
0.0%
Sole
Mega
VANGUARD FIDUCIARY TRUST CO
Bank
$681,960,628
1.27%
7,870,290
0.895%
-67,920
-0.9%
Shares
2026-08-13
Mega
MANUFACTURERS LIFE INSURANCE COMPANY, THE
Insurance
1
$658,607,413
1.22%
7,600,778
0.865%
-502,365
-6.2%
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
MANULIFE FINANCIAL CORP
joint
7,600,778
$658,607,413
100.0%
Defined
Large
CIBC WORLD MARKET INC.
$656,787,157
1.22%
7,579,771
0.862%
-217,416
-2.8%
Shares
2026-08-13
Mega
NATIONAL BANK OF CANADA /FI/
Bank
4
$611,443,644
1.14%
7,056,476
0.803%
-23,741
-0.3%
Shares
2026-08-10
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
National Bank Financial Inc.
2,713,947
$235,163,507
38.5%
Defined
Manager 6
2,985
$258,650
0.0%
Defined
Manager 7
220,648
$19,119,149
3.1%
Defined
Held directly
4,118,896
$356,902,338
58.4%
Defined
Mega
Legal & General Group Plc
2
$604,719,171
1.12%
6,978,871
0.794%
-168,415
-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
Legal & General Investment Management America Inc
1,639,802
$142,088,843
23.5%
Defined
Legal & General Investment Management Ltd
joint
5,339,069
$462,630,328
76.5%
Defined
Mid
CAUSEWAY CAPITAL MANAGEMENT LLC
$581,550,001
1.08%
6,711,483
0.763%
-2,080,898
-23.7%
Shares
2026-08-13
Mega
Jupiter Topco LLC
3
$576,625,160
1.07%
6,654,647
0.757%
New
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
JANUS HENDERSON INVESTORS UK Ltd
330,526
$28,640,077
5.0%
Defined
JANUS HENDERSON INVESTORS US LLC
6,014,457
$521,152,699
90.4%
Defined
Held directly
309,664
$26,832,384
4.7%
Defined
Mega
MORGAN STANLEY
12
$546,453,453
1.02%
6,306,445
0.717%
+1,377,036
+27.9%
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
MORGAN STANLEY & CO INTERNATIONAL PLC
263,130
$22,800,214
4.2%
Defined
MORGAN STANLEY & CO. LLC
75,007
$6,499,356
1.2%
Defined
Morgan Stanley Canada LTD
3,413,970
$295,820,500
54.1%
Defined
MORGAN STANLEY CAPITAL SERVICES, LLC
61,431
$5,322,996
1.0%
Defined
MORGAN STANLEY AIP GP LP
15,674
$1,358,152
0.2%
Defined
MORGAN STANLEY INVESTMENT MANAGEMENT INC
631
$54,676
0.0%
Defined
MORGAN STANLEY SMITH BARNEY LLC
1,250,580
$108,362,756
19.8%
Defined
PARAMETRIC PORTFOLIO ASSOCIATES LLC
1,185,839
$102,752,948
18.8%
Defined
EATON VANCE MANAGEMENT
33,352
$2,889,950
0.5%
Defined
Calvert Research & Management
1,591
$137,860
0.0%
Defined
BOSTON MANAGEMENT & RESEARCH
4,439
$384,639
0.1%
Defined
Held directly
801
$69,406
0.0%
Defined
Mega
CANADA PENSION PLAN INVESTMENT BOARD
Pension
$542,709,399
1.01%
6,263,236
0.712%
+769,963
+14.0%
Shares
2026-08-14
Large
TD Waterhouse Canada Inc.
1
$536,342,704
1.00%
6,189,760
0.704%
+7,826
+0.1%
Shares
2026-07-27
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
TORONTO DOMINION BANK
6,189,760
$536,342,704
100.0%
Defined
Mega
DZ BANK AG Deutsche Zentral Genossenschafts Bank, Frankfurt am Main
Bank
2
$501,706,966
0.93%
5,790,040
0.659%
-234,965
-3.9%
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
DZ PRIVATBANK AG
joint
4,500
$389,925
0.1%
Defined
UNION ASSET MANAGEMENT HOLDING AG
joint
5,785,540
$501,317,041
99.9%
Defined
Large
Fiera Capital Corp
2
$498,441,647
0.93%
5,752,356
0.654%
-153,057
-2.6%
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
Fiera Capital Inc.
6,825
$591,386
0.1%
Other
Held directly
5,745,531
$497,850,261
99.9%
Sole
Mid
Veritas Asset Management LLP
$496,319,675
0.92%
5,727,867
0.652%
-1,126,494
-16.4%
Shares
2026-08-04
Large
CIBC Asset Management Inc
$486,985,564
0.90%
5,620,145
0.639%
-992,828
-15.0%
Shares
2026-08-03
Mid
Rothschild & Co Wealth Management UK Ltd
$452,604,577
0.84%
5,223,365
0.594%
-40,839
-0.8%
Shares
2026-07-28
Large
Allspring Global Investments Holdings, LLC
2
$445,915,023
0.83%
5,146,163
0.585%
-153,034
-2.9%
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
Allspring Funds Management, LLC reporting on behalf of Morgan Stanley Smith Barney, LLC
292,770
$25,368,520
5.7%
Other
Allspring Global Investments, LLC reporting on behalf of UBS ASSET MANAGEMENT AMERICAS INC
4,853,393
$420,546,503
94.3%
Defined
Large
Federation des caisses Desjardins du Quebec
3
$426,730,626
0.79%
4,924,762
0.560%
+1,113,072
+29.2%
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
Desjardins Securities inc.
4,744,371
$411,099,747
96.3%
Defined
Regime de rentes du Mouvement Desjardins
137,663
$11,928,498
2.8%
Defined
Held directly
42,728
$3,702,381
0.9%
Defined
Large
Select Equity Group, L.P.
$376,666,336
0.70%
4,346,986
0.494%
-609,038
-12.3%
Shares
2026-08-14
Mega
MASSACHUSETTS FINANCIAL SERVICES CO /MA/
9
$368,143,440
0.68%
4,248,626
0.483%
-589,883
-12.2%
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.
37,479
$3,247,555
0.9%
Defined
MFS Investment Management CO (LUX) S.A.R.L.
1,583,945
$137,248,834
37.3%
Defined
MFS International Singapore Pte. Ltd.
14,059
$1,218,212
0.3%
Defined
MFS International (U.K.) Ltd.
127,998
$11,091,026
3.0%
Defined
MFS Investment Management K.K.
223,834
$19,395,216
5.3%
Defined
MFS Heritage Trust CO
22,981
$1,991,303
0.5%
Defined
MFS INVESTMENT MANAGEMENT CANADA LTD
1,634,437
$141,623,966
38.5%
Defined
MFS International Australia Pty Ltd
293,725
$25,451,271
6.9%
Defined
Held directly
310,168
$26,876,057
7.3%
Sole
Large
Fayez Sarofim & Co
$355,651,717
0.66%
4,104,463
0.467%
-516,645
-11.2%
Shares
2026-08-17
Mega
Vanguard Global Advisers, LLC
$327,469,413
0.61%
3,779,220
0.430%
+160,959
+4.4%
Shares
2026-08-13
Mega
BARCLAYS PLC
6
$325,595,603
0.61%
3,757,595
0.427%
-429,347
-10.3%
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
2,520,004
$218,358,346
67.1%
Defined
BARCLAYS CAPITAL INC.
15,544
$1,346,887
0.4%
Defined
BARCLAYS CAPITAL SECURITIES LTD
128,295
$11,116,761
3.4%
Defined
Barclays Bank (Suisse) SA
288,809
$25,025,299
7.7%
Defined
Barclays Bank Ireland PLC
151,488
$13,126,435
4.0%
Defined
Barclays Investment Solutions Ltd
653,455
$56,621,875
17.4%
Defined
Large
SCOTIA CAPITAL INC.
1
$314,040,655
0.58%
3,624,243
0.412%
-67,042
-1.8%
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
BANK OF NOVA SCOTIA
3,624,243
$314,040,655
100.0%
Defined
Mega
Fisher Asset Management, LLC
$308,429,895
0.57%
3,559,491
0.405%
-2,643,357
-42.6%
Shares
2026-08-04
Large
Beutel, Goodman & Co Ltd.
$308,158,940
0.57%
3,556,364
0.405%
-555,357
-13.5%
Shares
2026-08-12
Mid
Sustainable Growth Advisers, LP
$281,369,186
0.52%
3,247,192
0.369%
-1,963,138
-37.7%
Shares
2026-08-10
Mega
BANK OF AMERICA CORP /DE/
Bank
6
$276,899,865
0.51%
3,195,613
0.364%
+265,620
+9.1%
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
BANK OF AMERICA NA
253,345
$21,952,344
7.9%
Defined
MERRILL LYNCH, PIERCE, FENNER & SMITH INC.
311,631
$27,002,826
9.8%
Defined
BOFA SECURITIES, INC.
58,774
$5,092,767
1.8%
Defined
MERRILL LYNCH CANADA INC.
985,757
$85,415,844
30.8%
Defined
MERRILL LYNCH INTERNATIONAL
282,773
$24,502,280
8.8%
Defined
MANAGED ACCOUNT ADVISORS LLC
joint
1,303,333
$112,933,804
40.8%
Defined
Mega
Clearbridge Investments, LLC
2
$257,377,534
0.48%
2,970,312
0.338%
+105,764
+3.7%
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
FRANKLIN TEMPLETON INVESTMENTS CORP
1,432,657
$124,139,729
48.2%
Defined
Held directly
1,537,655
$133,237,805
51.8%
Sole
Large
TORONTO DOMINION BANK
Bank
4
$250,415,120
0.47%
2,889,961
0.329%
+171,142
+6.3%
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
TD Insurance - Meloche Monnex
40,100
$3,474,665
1.4%
Defined
TD SECURITIES INC
214,400
$18,577,760
7.4%
Defined
Canada Trust Co
200,281
$17,354,348
6.9%
Defined
Held directly
2,435,180
$211,008,347
84.3%
Sole
Mega
Swiss National Bank
Bank
$249,889,328
0.46%
2,883,893
0.328%
-136,300
-4.5%
Shares
2026-08-11
Large
BESSEMER GROUP INC
6
$245,779,338
0.46%
2,836,461
0.323%
+291,412
+11.5%
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
3,154
$273,294
0.1%
Defined
BESSEMER TRUST CO
31,368
$2,718,034
1.1%
Defined
BESSEMER TRUST Co NATIONAL ASSOCIATION
2,393,573
$207,403,099
84.4%
Defined
Bessemer Trust CO of Delaware, N.A.
175,133
$15,175,273
6.2%
Defined
BESSEMER TRUST Co OF FLORIDA
225,503
$19,539,834
8.0%
Defined
Bessemer Trust Co of Nevada, National Association
7,730
$669,804
0.3%
Defined
Large
PICTON MAHONEY ASSET MANAGEMENT
$245,209,015
0.46%
2,829,879
0.322%
+350,443
+14.1%
Shares
2026-08-13
Mega
AMERICAN CENTURY COMPANIES INC
1
$229,498,677
0.43%
2,648,571
0.301%
+1,218,476
+85.2%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Large
Caisse de depot et placement du Quebec
$228,354,810
0.42%
2,635,370
0.300%
+537,273
+25.6%
Shares
2026-08-14
Mega
FRANKLIN RESOURCES INC
11
$227,579,894
0.42%
2,626,427
0.299%
-2,066,453
-44.0%
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
FIDUCIARY TRUST CO INTERNATIONAL
123,064
$10,663,495
4.7%
Defined
Fiduciary Trust Co International of Pennsylvania
78,496
$6,801,678
3.0%
Defined
FIDUCIARY TRUST Co OF CANADA
36,162
$3,133,437
1.4%
Defined
Fiduciary Trust International of California
47,460
$4,112,409
1.8%
Defined
Fiduciary Trust International of the South
23,772
$2,059,843
0.9%
Defined
FIDUCIARY TRUST INTERNATIONAL LLC
23,715
$2,054,904
0.9%
Defined
FRANKLIN ADVISERS INC
2,009,748
$174,144,664
76.5%
Defined
FRANKLIN ADVISORY SERVICES LLC
270,068
$23,401,392
10.3%
Defined
FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD
49
$4,245
0.0%
Defined
FRANKLIN TEMPLETON INVESTMENTS CORP
12,483
$1,081,651
0.5%
Defined
PUTNAM INVESTMENT MANAGEMENT LLC
1,410
$122,176
0.1%
Defined
Mid
Mirova US LLC
1
$224,113,899
0.42%
2,586,427
0.294%
+642,265
+33.0%
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
MIROVA
2,586,427
$224,113,899
100.0%
Defined
Mid
AKO CAPITAL LLP
$210,215,239
0.39%
2,426,027
0.276%
-321,768
-11.7%
Shares
2026-08-12
Mega
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
$207,542,347
0.39%
2,395,180
0.272%
+82,701
+3.6%
Shares
2026-08-14
Mid
Findlay Park Partners LLP
$193,515,098
0.36%
2,233,296
0.254%
-75,800
-3.3%
Shares
2026-08-12
Large
BANK OF NOVA SCOTIA
Bank
2
$193,152,468
0.36%
2,229,111
0.254%
-13,446
-0.6%
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
Bank of Nova Scotia Trust Co (Bahamas) Ltd
3,994
$346,080
0.2%
Defined
Held directly
2,225,117
$192,806,388
99.8%
Sole
Mid
Canoe Financial LP
$192,955,859
0.36%
2,226,842
0.253%
+194,364
+9.6%
Shares
2026-07-16
Mega
DIMENSIONAL FUND ADVISORS LP
5
$185,733,059
0.35%
2,143,486
0.244%
+113,880
+5.6%
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.
13,304
$1,152,791
0.6%
Defined
DFA Australia Ltd.
115,543
$10,011,800
5.4%
Defined
Dimensional Fund Advisors Pte. Ltd.
1,746
$151,290
0.1%
Defined
Dimensional Ireland Ltd
92,588
$8,022,750
4.3%
Defined
Held directly
1,920,305
$166,394,428
89.6%
Sole
Mega
NORTHERN TRUST CORP
Bank
1
$178,981,033
0.33%
2,065,563
0.235%
-345,913
-14.3%
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
2,065,563
$178,981,033
100.0%
Defined
Large
THORNBURG INVESTMENT MANAGEMENT INC
$174,846,442
0.32%
2,017,847
0.230%
-10,866
-0.5%
Shares
2026-08-13
Large
ALKEON CAPITAL MANAGEMENT LLC
2
$173,646,599
0.32%
2,004,000
0.228%
0
0.0%
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
OPPENHEIMER ASSET MANAGEMENT INC.
334,039
$28,944,479
16.7%
Other
Held directly
1,669,961
$144,702,120
83.3%
Sole
Large
AGF MANAGEMENT LTD
2
$172,408,024
0.32%
1,989,706
0.226%
+9,686
+0.5%
Shares
2026-08-10
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
AGF INVESTMENTS INC.
1,980,635
$171,622,022
99.5%
Sole
Doherty & Associates Ltd.
9,071
$786,002
0.5%
Sole
Mega
UBS Group AG
6
$167,552,763
0.31%
1,933,673
0.220%
+39,557
+2.1%
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
620,961
$53,806,270
32.1%
Defined
UBS AG
917,833
$79,530,229
47.5%
Defined
UBS Switzerland AG
166,975
$14,468,383
8.6%
Defined
UBS Bank (Canada)
184,059
$15,948,712
9.5%
Defined
UBS La Maison de Gestion
40,717
$3,528,128
2.1%
Defined
UBS Securities LLC
3,128
$271,041
0.2%
Defined
Mid
BRISTOL JOHN W & CO INC /NY/
$157,033,195
0.29%
1,812,270
0.206%
-19,913
-1.1%
Shares
2026-08-13
Mega
BNP PARIBAS ARBITRAGE, SA
$151,297,312
0.28%
1,746,074
0.199%
-647,999
-27.1%
Shares
2026-08-13
Mid
Cardinal Capital Management, Inc.
$147,482,198
0.27%
1,702,045
0.194%
+32,121
+1.9%
Shares
2026-07-10
Mega
DEUTSCHE BANK AG\
Bank
5
$142,726,584
0.27%
1,647,162
0.187%
+94,673
+6.1%
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
DWS Investment GmbH
336,608
$29,167,083
20.4%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
4,275
$370,428
0.3%
Defined
DWS Investments UK Ltd
1,164,629
$100,915,102
70.7%
Defined
DBX Advisors LLC
15,223
$1,319,072
0.9%
Defined
DWS International GmbH
126,427
$10,954,899
7.7%
Defined
Mega
VANGUARD ASSET MANAGEMENT, Ltd
$142,165,528
0.26%
1,640,687
0.187%
+195,806
+13.6%
Shares
2026-08-13
Mega
WELLS FARGO & COMPANY/MN
4
$140,568,134
0.26%
1,622,252
0.185%
+95,297
+6.2%
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
161,602
$14,002,813
10.0%
Defined
WELLS FARGO ADVISORS FINANCIAL NETWORK, LLC
259,287
$22,467,218
16.0%
Defined
WELLS FARGO CLEARING SERVICES, LLC
998,919
$86,556,331
61.6%
Defined
WELLS FARGO INVESTMENT INSTITUTE, INC.
202,444
$17,541,772
12.5%
Defined
Mega
Russell Investments Group, Ltd.
8
$136,849,026
0.25%
1,579,331
0.180%
+596,252
+60.7%
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
46,919
$4,065,531
3.0%
Defined
Russell Investment Management, LLC
322,721
$27,963,774
20.4%
Defined
Russell Investments Canada Limited
187,180
$16,219,147
11.9%
Defined
Russell Investments Capital, LLC
374,497
$32,450,165
23.7%
Defined
Russell Investments Implementation Services, LLC
160,945
$13,945,884
10.2%
Defined
Russell Investments Japan Co., LTD.
joint
50,491
$4,375,044
3.2%
Defined
Russell Investments Limited
joint
402,354
$34,863,972
25.5%
Defined
Russell Investments Trust Company
34,224
$2,965,509
2.2%
Defined
Mega
Amundi
2
$134,957,547
0.25%
1,557,502
0.177%
-68,431
-4.2%
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
1,391,453
$120,569,402
89.3%
Defined
CPR Asset Management
166,049
$14,388,145
10.7%
Defined
Large
Public Sector Pension Investment Board
Pension
$121,325,856
0.23%
1,400,183
0.159%
+877,056
+167.7%
Shares
2026-08-13
Mega
Nuveen, LLC
2
$119,828,024
0.22%
1,382,897
0.157%
+173,616
+14.4%
Shares
2026-08-11
This filing is a combination report: the position is filed across the managers below.
Mid
Alberta Investment Management Corp
$116,987,204
0.22%
1,350,112
0.154%
+184,357
+15.8%
Shares
2026-08-06
Large
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
$115,655,914
0.21%
1,334,748
0.152%
+196,986
+17.3%
Shares
2026-08-13
Large
Baird Financial Group, Inc.
3
$109,315,559
0.20%
1,261,576
0.144%
-69,140
-5.2%
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
Robert W. Baird & Co. Inc
1,240,126
$107,456,917
98.3%
Defined
Strategas Asset Management, LLC
joint
13,319
$1,154,091
1.1%
Defined
BAIRD TRUST Co
8,131
$704,551
0.6%
Defined
Mid
MUFG SECURITIES (CANADA), LTD.
Broker-Dealer
1
$108,811,257
0.20%
1,255,756
0.143%
-75,887
-5.7%
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
Mitsubushi UFJ Financial Group Inc
joint
1,255,756
$108,811,257
100.0%
Defined
Mid
REAVES W H & CO INC
$108,509,802
0.20%
1,252,277
0.142%
+174,086
+16.1%
Shares
2026-07-30
Mid
GUARDIAN CAPITAL LP
2
$102,399,243
0.19%
1,181,757
0.134%
-41,153
-3.4%
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
Guardian Partners Inc.
11,825
$1,024,636
1.0%
Defined
Held directly
1,169,932
$101,374,607
99.0%
Sole
Large
AVIVA PLC
1
$96,491,360
0.18%
1,113,576
0.127%
-24,422
-2.1%
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
AVIVA INVESTORS GLOBAL SERVICES LTD
1,113,576
$96,491,360
100.0%
Defined
Mid
Aviso Financial Inc.
$94,507,075
0.18%
1,090,676
0.124%
-15,807
-1.4%
Shares
2026-08-13
Mid
BCV Asset Management Inc.
$93,997,486
0.17%
1,084,795
0.123%
-37,673
-3.4%
Shares
2026-08-10
Mid
Maren Capital LLC
$92,427,995
0.17%
1,066,682
0.121%
+18,696
+1.8%
Shares
2026-08-13
Large
UniSuper Management Pty Ltd
$90,882,939
0.17%
1,048,851
0.119%
+6,411
+0.6%
Shares
2026-08-14
Mid
Quilter Plc
3
$86,889,586
0.16%
1,002,765
0.114%
+11,343
+1.1%
Shares
2026-07-24
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Quilter Cheviot Europe Ltd
6,611
$572,843
0.7%
Sole
Quilter Cheviot Ltd
919,186
$79,647,466
91.7%
Sole
Quilter Cheviot International Ltd
76,968
$6,669,277
7.7%
Sole
Mega
ENVESTNET ASSET MANAGEMENT INC
$84,623,429
0.16%
976,612
0.111%
-78,171
-7.4%
Shares
2026-08-03
Large
State of Tennessee, Department of Treasury
$84,021,905
0.16%
969,670
0.110%
-17,918
-1.8%
Shares
2026-08-14
Large
SEI INVESTMENTS CO
2
$82,092,556
0.15%
947,404
0.108%
-346,124
-26.8%
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
82,888
$7,182,245
8.7%
Sole
SEI TRUST CO
864,516
$74,910,311
91.3%
Sole
Large
Vanguard Investments Australia, Ltd.
$76,906,294
0.14%
887,551
0.101%
+14,055
+1.6%
Shares
2026-08-13
Mega
AQR CAPITAL MANAGEMENT LLC
$76,479,976
0.14%
882,631
0.100%
-93,500
-9.6%
Shares
2026-08-14
Mega
Bank of New York Mellon Corp
Bank
6
$76,305,198
0.14%
880,614
0.100%
+44,935
+5.4%
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
701
$60,740
0.1%
Defined
Mellon Investments Corporation
joint
503,358
$43,615,969
57.2%
Defined
The Bank of New York Mellon
330,610
$28,647,356
37.5%
Defined
BNY Mellon, NA
joint
40,571
$3,515,477
4.6%
Defined
BNY Mellon Advisors, Inc.
5,372
$465,483
0.6%
Defined
Held directly
2
$173
0.0%
Defined
Large
Vontobel Holding Ltd.
3
$75,793,621
0.14%
874,710
0.100%
+867,983
+12903.0%
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
Vontobel Asset Management Ltd
813,659
$70,503,552
93.0%
Defined
Vontobel Asset Management S.A.
7,300
$632,545
0.8%
Defined
VONTOBEL ASSET MANAGEMENT INC
53,751
$4,657,524
6.1%
Defined
Large
NATIXIS ADVISORS, LLC
1
$74,248,998
0.14%
856,884
0.097%
+182,729
+27.1%
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
Natixis Investment Managers, L.P.
856,884
$74,248,998
100.0%
Defined
Mega
RAYMOND JAMES FINANCIAL INC
4
$72,792,237
0.14%
840,072
0.096%
-36,892
-4.2%
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
656,445
$56,880,959
78.1%
Defined
Raymond James Financial Services Advisors, Inc.
137,106
$11,880,234
16.3%
Defined
CHARTWELL INVESTMENT PARTNERS, LLC
joint
41,651
$3,609,059
5.0%
Defined
RAYMOND JAMES TRUST N.A.
4,870
$421,985
0.6%
Defined
Mid
Addenda Capital Inc.
$72,170,351
0.13%
832,895
0.095%
+133,245
+19.0%
Shares
2026-07-14
Mega
BlackRock, Inc.
6
$64,829,796
0.12%
748,180
0.085%
+54,076
+7.8%
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
81
$7,018
0.0%
Sole
BlackRock Investment Management, LLC
5,317
$460,718
0.7%
Sole
BLACKROCK ADVISORS LLC
6,197
$536,970
0.8%
Sole
BlackRock Asset Management Ireland Ltd
131
$11,351
0.0%
Sole
Aperio Group, LLC
714,500
$61,911,425
95.5%
Sole
SpiderRock Advisors, LLC
21,954
$1,902,314
2.9%
Sole
Large
HighTower Advisors, LLC
$64,730,842
0.12%
747,038
0.085%
+10,391
+1.4%
Shares
2026-08-05
Large
Focus Partners Wealth
$63,348,861
0.12%
731,089
0.083%
-46,543
-6.0%
Shares
2026-08-12
Mid
Value Partners Investments Inc.
$62,787,196
0.12%
724,607
0.082%
+1,737
+0.2%
Shares
2026-07-15
Mid
MILFORD FUNDS LTD
$59,317,557
0.11%
684,565
0.078%
+384,731
+128.3%
Shares
2026-07-30
No holders match your search.