Mid
Uber Technologies, Inc
$2,020,354,242
17.04%
535,902,982
13.099%
0
0.0%
Shares
2026-08-07
Mid
SB INVESTMENT ADVISERS (UK) LTD
1
$1,514,773,453
12.78%
401,796,672
9.821%
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
SB INVESTMENT ADVISERS (US) INC.
401,796,672
$1,514,773,453
100.0%
Sole
Mid
TOYOTA MOTOR CORP/
$840,355,917
7.09%
222,906,079
5.448%
0
0.0%
Shares
2026-08-04
Mega
BlackRock, Inc.
20
$588,782,783
4.97%
156,175,807
3.817%
+9,357,389
+6.4%
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
1,013,604
$3,821,287
0.6%
Sole
BlackRock Investment Management (Australia) Ltd
1,815,135
$6,843,058
1.2%
Sole
BlackRock Asset Management Canada Ltd
2,928,665
$11,041,067
1.9%
Sole
BLACKROCK (SINGAPORE) LTD.
838,163
$3,159,874
0.5%
Sole
BlackRock Asset Management North Asia Ltd
2,473,414
$9,324,770
1.6%
Sole
BlackRock Investment Management, LLC
7,546,113
$28,448,846
4.8%
Sole
BLACKROCK ADVISORS LLC
4,068,333
$15,337,615
2.6%
Sole
BlackRock Fund Advisors
52,738,026
$198,822,358
33.8%
Sole
BlackRock Institutional Trust Company, N.A.
34,077,410
$128,471,835
21.8%
Sole
BlackRock Japan Co. Ltd
1,541,663
$5,812,069
1.0%
Sole
BlackRock Fund Managers Ltd.
1,380,751
$5,205,431
0.9%
Sole
BlackRock Investment Management (UK) Ltd.
6,163,201
$23,235,267
3.9%
Sole
BlackRock (Netherlands) B.V.
6,305,993
$23,773,593
4.0%
Sole
BlackRock Asset Management Ireland Ltd
15,897,759
$59,934,551
10.2%
Sole
BlackRock Advisors (UK) Ltd
89,392
$337,007
0.1%
Sole
BlackRock (Luxembourg) S.A.
14,253,229
$53,734,673
9.1%
Sole
BlackRock Life Ltd
272,835
$1,028,587
0.2%
Sole
BlackRock Asset Management Schweiz AG
98,943
$373,015
0.1%
Sole
Aperio Group, LLC
2,673,007
$10,077,236
1.7%
Sole
SpiderRock Advisors, LLC
171
$644
0.0%
Sole
Mid
MUFG BANK, LTD.
$538,783,623
4.54%
142,913,428
3.493%
0
0.0%
Shares
2026-08-07
Mega
MORGAN STANLEY
10
$490,102,289
4.13%
130,000,609
3.177%
-3,501,331
-2.6%
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
MORGAN STANLEY & CO INTERNATIONAL PLC
1,060,689
$3,998,797
0.8%
Defined
MORGAN STANLEY & CO. LLC
44,389,487
$167,348,365
34.1%
Defined
MORGAN STANLEY CAPITAL SERVICES, LLC
10,396,215
$39,193,730
8.0%
Defined
MORGAN STANLEY AIP GP LP
132,944
$501,198
0.1%
Defined
MORGAN STANLEY INVESTMENT MANAGEMENT CO
5,367,202
$20,234,351
4.1%
Defined
MORGAN STANLEY INVESTMENT MANAGEMENT INC
46,169,977
$174,060,813
35.5%
Defined
Morgan Stanley Investment Management LTD
15,368
$57,937
0.0%
Defined
MORGAN STANLEY SMITH BARNEY LLC
16,151,943
$60,892,824
12.4%
Defined
PARAMETRIC PORTFOLIO ASSOCIATES LLC
6,156,000
$23,208,119
4.7%
Defined
Calvert Research & Management
160,784
$606,155
0.1%
Defined
Mega
Invesco Ltd.
6
$399,984,741
3.37%
106,096,750
2.593%
+4,374,122
+4.3%
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
Invesco Advisers, Inc.
joint
17,571,349
$66,243,983
16.6%
Defined
Invesco Trust Co
joint
13,293
$50,114
0.0%
Defined
Invesco Asset Management Limited
joint
84,332,470
$317,933,410
79.5%
Defined
Invesco Management S.A.
448,818
$1,692,043
0.4%
Defined
Invesco Asset Management (Japan) Limited
53,578
$201,989
0.1%
Defined
Invesco Capital Management LLC
3,677,242
$13,863,202
3.5%
Defined
Mid
PointState Capital LP
$320,041,678
2.70%
84,891,692
2.075%
+42,619,312
+100.8%
Shares
2026-08-14
Mega
WELLINGTON MANAGEMENT GROUP LLP
8
$285,405,844
2.41%
75,704,469
1.850%
-1,754,545
-2.3%
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
Wellington Management Company LLP
61,391,654
$231,446,535
81.1%
Defined
Wellington Managment Canada LLC
3,006,211
$11,333,415
4.0%
Defined
Wellington Management Japan Pte Ltd
415,226
$1,565,402
0.5%
Defined
Wellington Management Singapore Pte. Ltd.
348,447
$1,313,645
0.5%
Defined
Wellington Management International Ltd
4,090,237
$15,420,193
5.4%
Defined
Wellington Trust Company, NA
joint
4,265,944
$16,082,608
5.6%
Defined
Wellington Management Australia Pty Ltd
369,606
$1,393,414
0.5%
Defined
Wellington Management Europe GmbH
1,817,144
$6,850,632
2.4%
Defined
Large
London & Capital Asset Management Ltd
$266,104,873
2.24%
70,584,847
1.725%
+7,928,096
+12.7%
Shares
2026-08-12
Mid
Aspex Management (HK) Ltd
$204,839,270
1.73%
54,334,024
1.328%
-4,970,000
-8.4%
Shares
2026-08-14
Mid
Coronation Fund Managers Ltd.
2
$198,631,286
1.68%
52,687,344
1.288%
+20,085,989
+61.6%
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
Coronation Investment Management International (Pty) Ltd
31,184,382
$117,565,120
59.2%
Defined
Coronation International Ltd
21,502,962
$81,066,166
40.8%
Defined
Mega
BAILLIE GIFFORD & CO
4
$185,088,767
1.56%
49,095,164
1.200%
+2,243,001
+4.8%
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
BAILLIE GIFFORD & CO LTD
14,446,929
$54,464,922
29.4%
Defined
BAILLIE GIFFORD OVERSEAS LTD
9,522,346
$35,899,244
19.4%
Defined
Baillie Gifford Investment Management (Europe) Ltd
10,926,186
$41,191,721
22.3%
Defined
Held directly
14,199,703
$53,532,880
28.9%
Sole
Mega
STATE STREET CORP
1
$172,312,717
1.45%
45,706,291
1.117%
-142,545
-0.3%
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
45,706,291
$172,312,717
100.0%
Defined
Large
Assenagon Asset Management S.A.
$162,944,753
1.37%
43,221,420
1.056%
-11,684,951
-21.3%
Shares
2026-08-21
Small
WFM ASIA (BVI) Ltd
1
$162,689,795
1.37%
43,153,792
1.055%
0
0.0%
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
WFM ASIA (HK) Ltd
43,153,792
$162,689,795
100.0%
Sole
Mega
JPMORGAN CHASE & CO
11
$146,988,093
1.24%
38,988,886
0.953%
-3,913,742
-9.1%
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
J.P. Morgan Trust Co of Delaware
3,557
$13,409
0.0%
Other
JPMorgan Chase Bank, N.A.
1,337,648
$5,042,931
3.4%
Other
J.P. Morgan Investment Management Inc.
21,809,045
$82,220,099
55.9%
Defined
J.P. Morgan Securities LLC
184
$693
0.0%
Defined
J.P. Morgan Securities plc
1,769,253
$6,670,083
4.5%
Defined
JPMorgan Asset Management (UK) Ltd
6,616,655
$24,944,789
17.0%
Defined
JPMorgan Asset Management (Canada) Inc.
1,805,858
$6,808,084
4.6%
Defined
JPMorgan Asset Management (Asia Pacific) Ltd
5,555,889
$20,945,701
14.2%
Defined
JPMorgan Asset Management (Japan) Ltd
78,077
$294,350
0.2%
Defined
JPMorgan Asset Management (Taiwan) Ltd
10,000
$37,700
0.0%
Defined
J.P. Morgan SE
2,720
$10,254
0.0%
Defined
Mega
NORGES BANK
Bank
$128,918,576
1.09%
34,195,909
0.836%
New
Shares
2026-08-12
Mega
CITIGROUP INC
3
$125,952,038
1.06%
33,409,029
0.817%
+1,078,508
+3.3%
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
Citibank (Switzerland) AG
joint
11,178
$42,141
0.0%
Defined
Citibank, N.A.
joint
675,634
$2,547,140
2.0%
Defined
Citigroup Financial Products Inc.
joint
32,722,217
$123,362,757
97.9%
Defined
Large
Artisan Partners Limited Partnership
$115,571,268
0.97%
30,655,509
0.749%
+2,850,411
+10.3%
Shares
2026-08-13
Mega
GOLDMAN SACHS GROUP INC
4
$114,404,361
0.96%
30,345,985
0.742%
+3,114,201
+11.4%
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
GOLDMAN SACHS & CO. LLC
13,294,475
$50,120,170
43.8%
Defined
GOLDMAN SACHS ASSET MANAGEMENT, L.P.
14,963,269
$56,411,524
49.3%
Defined
GOLDMAN SACHS INTERNATIONAL
364,640
$1,374,692
1.2%
Defined
Goldman Sachs Trust Company, N.A.
joint
1,723,601
$6,497,975
5.7%
Defined
Mega
CITADEL ADVISORS LLC
2
$111,771,191
0.94%
29,647,531
0.725%
+25,378,141
+594.4%
Shares
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
17,135,682
$64,601,521
57.8%
Defined
Held directly
12,511,849
$47,169,670
42.2%
Defined
Mega
GEODE CAPITAL MANAGEMENT, LLC
2
$103,037,695
0.87%
27,330,954
0.668%
+1,095,631
+4.2%
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
GEODE CAPITAL MANAGEMENT TRUST COMPANY, LLC
4,049,022
$15,264,812
14.8%
Defined
Held directly
23,281,932
$87,772,883
85.2%
Defined
Mega
Capital World Investors
1
$101,823,093
0.86%
27,008,778
0.660%
+6,021,109
+28.7%
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
CAPITAL GROUP COMPANIES INC
joint
27,008,778
$101,823,093
100.0%
Defined
Mega
NORDEA INVESTMENT MANAGEMENT AB
3
$93,162,146
0.79%
24,711,445
0.604%
+414,337
+1.7%
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
14,850,728
$55,987,244
60.1%
Defined
Nordea Investment Funds S.A.
9,207,499
$34,712,271
37.3%
Defined
Held directly
653,218
$2,462,631
2.6%
Sole
Mega
PRINCIPAL FINANCIAL GROUP INC
$91,571,720
0.77%
24,289,581
0.594%
+2,867,458
+13.4%
Shares
2026-08-04
Mid
TREMBLANT CAPITAL GROUP
$86,880,027
0.73%
23,045,100
0.563%
-1,326,335
-5.4%
Shares
2026-08-14
Mega
HSBC HOLDINGS PLC
8
$67,397,379
0.57%
17,877,290
0.437%
+3,090,656
+20.9%
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
HSBC Bank USA, N.A.
45,596
$171,896
0.3%
Defined
HSBC Global Asset Management (Hong Kong) Ltd
3,189,309
$12,023,694
17.8%
Defined
HSBC Global Asset Management (UK) Ltd
2,896,069
$10,918,180
16.2%
Defined
Hang Seng Investment Management Ltd
638,613
$2,407,571
3.6%
Defined
HSBC PRIVATE BANK (SUISSE) LTD
9,884
$37,262
0.1%
Defined
Hongkong & Shanghai Banking Corp Ltd / ASP
9,686,306
$36,517,373
54.2%
Defined
HSBC BANK PLC
1,209,864
$4,561,187
6.8%
Defined
Held directly
201,649
$760,216
1.1%
Defined
Mega
MASSACHUSETTS FINANCIAL SERVICES CO /MA/
7
$66,680,940
0.56%
17,687,253
0.432%
+2,486,750
+16.4%
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.
276,474
$1,042,306
1.6%
Defined
MFS Investment Management CO (LUX) S.A.R.L.
45,411
$171,199
0.3%
Defined
MFS International (U.K.) Ltd.
429,786
$1,620,293
2.4%
Defined
MFS Investment Management K.K.
61,362
$231,334
0.3%
Defined
MFS Heritage Trust CO
1,733,705
$6,536,067
9.8%
Defined
MFS INVESTMENT MANAGEMENT CANADA LTD
104,103
$392,468
0.6%
Defined
Held directly
15,036,412
$56,687,273
85.0%
Sole
Mega
Russell Investments Group, Ltd.
8
$66,289,141
0.56%
17,583,328
0.430%
+143,780
+0.8%
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
472,521
$1,781,404
2.7%
Defined
Russell Investment Management, LLC
6,816,114
$25,696,749
38.8%
Defined
Russell Investments Canada Limited
529,491
$1,996,181
3.0%
Defined
Russell Investments Capital, LLC
joint
4,991,895
$18,819,443
28.4%
Defined
Russell Investments Implementation Services, LLC
41,451
$156,270
0.2%
Defined
Russell Investments Japan Co., LTD.
joint
464,763
$1,752,156
2.6%
Other
Russell Investments Limited
2,262,518
$8,529,692
12.9%
Defined
Russell Investments Trust Company
joint
2,004,575
$7,557,246
11.4%
Defined
Large
SANDS CAPITAL MANAGEMENT, LLC
$61,773,629
0.52%
16,385,578
0.400%
+7,263,146
+79.6%
Shares
2026-08-13
Large
Allspring Global Investments Holdings, LLC
2
$60,391,724
0.51%
16,019,025
0.392%
+127,727
+0.8%
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
14,795
$55,777
0.1%
Defined
Allspring Global Investments, LLC reporting on behalf of UBS ASSET MANAGEMENT AMERICAS INC
16,004,230
$60,335,947
99.9%
Defined
Mega
UBS Group AG
5
$58,888,053
0.50%
15,620,174
0.382%
-1,617,896
-9.4%
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
454,396
$1,713,072
2.9%
Defined
UBS AG
13,068,434
$49,267,995
83.7%
Defined
UBS Switzerland AG
2,084,219
$7,857,505
13.3%
Defined
UBS Bank (Canada)
12,278
$46,288
0.1%
Defined
UBS Securities LLC
847
$3,193
0.0%
Defined
Mega
JANE STREET GROUP, LLC
2
$58,589,814
0.49%
15,541,065
0.380%
-1,719,089
-10.0%
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
Jane Street Capital, LLC
12,067,435
$45,494,229
77.6%
Defined
Jane Street Global Trading, LLC
3,473,630
$13,095,585
22.4%
Defined
Mega
Legal & General Group Plc
2
$54,658,352
0.46%
14,498,237
0.354%
-299,754
-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
Legal & General Investment Management America Inc
779,860
$2,940,072
5.4%
Defined
Legal & General Investment Management Ltd
joint
13,718,377
$51,718,280
94.6%
Defined
Mid
OVERSEA-CHINESE BANKING Corp Ltd
5
$50,394,221
0.43%
13,367,168
0.327%
+3,774,091
+39.3%
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 Singapore Limited
3,517,674
$13,261,630
26.3%
Defined
Great Eastern Life Assurance Company Limited
7,337,486
$27,662,322
54.9%
Defined
Lion Global Investors Limited
1,972,662
$7,436,935
14.8%
Defined
Great Eastern Trust Private Ltd
511,526
$1,928,453
3.8%
Defined
Held directly
27,820
$104,881
0.2%
Defined
Mega
NORTHERN TRUST CORP
Bank
4
$49,598,614
0.42%
13,156,132
0.322%
-119,012
-0.9%
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
NORTHERN TRUST CO
joint
8,556,433
$32,257,751
65.0%
Defined
NORTHERN TRUST GLOBAL INVESTMENTS LTD
4,486,955
$16,915,819
34.1%
Defined
Northern Trust Asset Management Australia Pty Ltd
42,992
$162,079
0.3%
Defined
Northern Trust Co of Hong Kong Ltd
69,752
$262,965
0.5%
Defined
Large
Blackstone Inc.
1
$48,256,000
0.41%
12,800,000
0.313%
-2,200,000
-14.7%
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
Blackstone Alternative Solutions L.L.C.
12,800,000
$48,256,000
100.0%
Other
Mega
Amundi
1
$47,211,234
0.40%
12,522,874
0.306%
+810,651
+6.9%
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
12,522,874
$47,211,234
100.0%
Defined
Large
RENAISSANCE TECHNOLOGIES LLC
$45,497,114
0.38%
12,068,200
0.295%
-1,246,235
-9.4%
Shares
2026-08-13
Mega
MILLENNIUM MANAGEMENT LLC
$39,698,567
0.33%
10,530,124
0.257%
+3,580,112
+51.5%
Shares
2026-08-14
Mega
BANK OF AMERICA CORP /DE/
Bank
6
$39,504,436
0.33%
10,478,631
0.256%
-13,515,263
-56.3%
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
BANK OF AMERICA NA
6,033,008
$22,744,440
57.6%
Defined
MERRILL LYNCH, PIERCE, FENNER & SMITH INC.
82,571
$311,292
0.8%
Defined
BOFA SECURITIES, INC.
654,229
$2,466,443
6.2%
Defined
MERRILL LYNCH INTERNATIONAL
3,075,464
$11,594,499
29.3%
Defined
MANAGED ACCOUNT ADVISORS LLC
615,397
$2,320,046
5.9%
Defined
BofA Securities Europe SA
17,962
$67,716
0.2%
Defined
Mega
Nuveen, LLC
3
$39,336,906
0.33%
10,434,193
0.255%
+265,307
+2.6%
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
Nuveen Asset Management, LLC
joint
376,440
$1,419,178
3.6%
Defined
TIAA CREF INVESTMENT MANAGEMENT LLC
joint
4,396,758
$16,575,777
42.1%
Defined
TEACHERS ADVISORS, LLC
joint
5,660,995
$21,341,951
54.3%
Defined
Mid
Ribbit Management Company, LLC
1
$38,265,500
0.32%
10,150,000
0.248%
+3,900,000
+62.4%
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
Malka Meyer
10,150,000
$38,265,500
100.0%
Sole
Mid
PRUDENTIAL PLC
1
$38,179,249
0.32%
10,127,122
0.248%
-586,949
-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
EASTSPRING INVESTMENTS (SINGAPORE) LTD
10,127,122
$38,179,249
100.0%
Defined
Mega
CITADEL ADVISORS LLC
1
$36,536,578
0.31%
9,691,400
0.237%
-978,600
-9.2%
Call
2026-09-02
This filing is a combination report: the position is filed across the managers below.
Mega
SUSQUEHANNA INTERNATIONAL GROUP, LLP
1
$36,466,282
0.31%
9,672,754
0.236%
+3,234,206
+50.2%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Large
Man Group plc
3
$35,842,757
0.30%
9,507,363
0.232%
+4,270,684
+81.6%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Large
FEDERATED HERMES, INC.
2
$33,112,810
0.28%
8,783,239
0.215%
+1,252,894
+16.6%
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
FEDERATED GLOBAL INVESTMENT MANAGEMENT CORP
154,133
$581,081
1.8%
Defined
HERMES INVESTMENT MANAGEMENT LTD
8,629,106
$32,531,729
98.2%
Defined
Large
HRT FINANCIAL LP
$32,501,599
0.27%
8,621,114
0.211%
+2,022,474
+30.6%
Shares
2026-08-14
Mega
Swiss National Bank
Bank
$31,808,621
0.27%
8,437,300
0.206%
-272,700
-3.1%
Shares
2026-08-11
Mega
AMERIPRISE FINANCIAL INC
4
$31,564,474
0.27%
8,372,540
0.205%
+543,806
+6.9%
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
5,256,836
$19,818,271
62.8%
Defined
Threadneedle Asset Management Holdings LTD
891,972
$3,362,734
10.7%
Defined
Ameriprise Financial Services, LLC
1,873,356
$7,062,552
22.4%
Defined
Columbia Threadneedle Management Ltd
350,376
$1,320,917
4.2%
Defined
Large
TORONTO DOMINION BANK
Bank
3
$31,361,558
0.26%
8,318,716
0.203%
-233,949
-2.7%
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 SECURITIES INC
746
$2,812
0.0%
Defined
TORONTO DOMINION (SOUTH EAST ASIA) Ltd
8,310,694
$31,331,316
99.9%
Defined
Held directly
7,276
$27,430
0.1%
Sole
Mega
DEUTSCHE BANK AG\
Bank
6
$30,811,453
0.26%
8,172,800
0.200%
+546,224
+7.2%
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
DWS Investment GmbH
821,954
$3,098,766
10.1%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
12,303
$46,382
0.2%
Defined
DWS Investments UK Ltd
4,405,104
$16,607,242
53.9%
Defined
DBX Advisors LLC
1,040,828
$3,923,921
12.7%
Defined
DWS Investments Hong Kong Ltd
160,796
$606,200
2.0%
Defined
DWS International GmbH
1,731,815
$6,528,942
21.2%
Defined
Mega
PRICE T ROWE ASSOCIATES INC /MD/
3
$29,808,808
0.25%
7,906,846
0.193%
-1,554,330
-16.4%
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
T. Rowe Price International Ltd
1,386,845
$5,228,405
17.5%
Defined
T. Rowe Price Hong Kong Limited
2,372,312
$8,943,616
30.0%
Defined
Held directly
4,147,689
$15,636,787
52.5%
Sole
Mega
UBS Group AG
1
$28,523,574
0.24%
7,565,935
0.185%
+318,554
+4.4%
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
7,565,935
$28,523,574
100.0%
Defined
Large
Bridgewater Associates, LP
$27,910,105
0.24%
7,403,211
0.181%
-919,780
-11.1%
Shares
2026-08-14
Mid
EDMOND DE ROTHSCHILD HOLDING S.A.
1
$27,129,674
0.23%
7,196,200
0.176%
0
0.0%
Shares
2026-08-10
This filing is a combination report: the position is filed across the managers below.
Mega
CITADEL ADVISORS LLC
1
$26,958,516
0.23%
7,150,800
0.175%
-490,500
-6.4%
Put
2026-09-02
This filing is a combination report: the position is filed across the managers below.
Mega
SUSQUEHANNA INTERNATIONAL GROUP, LLP
1
$26,183,027
0.22%
6,945,100
0.170%
-8,928,200
-56.2%
Call
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mega
FRANKLIN RESOURCES INC
5
$25,113,537
0.21%
6,661,416
0.163%
-3,683,267
-35.6%
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
FIDUCIARY TRUST CO INTERNATIONAL
430
$1,621
0.0%
Defined
FIDUCIARY TRUST INTERNATIONAL LLC
53,560
$201,921
0.8%
Defined
FRANKLIN ADVISERS INC
5,066,780
$19,101,760
76.1%
Defined
FRANKLIN ADVISORY SERVICES LLC
66,446
$250,501
1.0%
Defined
Franklin Templeton Institutional, LLC
1,474,200
$5,557,734
22.1%
Defined
Mid
Ardmore Road Asset Management LP
$22,620,000
0.19%
6,000,000
0.147%
+1,425,000
+31.1%
Shares
2026-08-14
Mega
BNP PARIBAS ARBITRAGE, SA
$21,705,333
0.18%
5,757,383
0.141%
-3,497,670
-37.8%
Shares
2026-08-13
Large
AVIVA PLC
1
$20,807,949
0.18%
5,519,350
0.135%
-18,885
-0.3%
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
AVIVA INVESTORS GLOBAL SERVICES LTD
5,519,350
$20,807,949
100.0%
Defined
Small
CLEARLAKE CAPITAL GROUP, L.P.
$20,735,000
0.17%
5,500,000
0.134%
0
0.0%
Shares
2026-08-14
Mega
VANGUARD ASSET MANAGEMENT, Ltd
$20,104,908
0.17%
5,332,867
0.130%
-27,974
-0.5%
Shares
2026-08-13
Mega
MANUFACTURERS LIFE INSURANCE COMPANY, THE
Insurance
1
$20,101,907
0.17%
5,332,071
0.130%
-6,516,584
-55.0%
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
MANULIFE FINANCIAL CORP
joint
5,332,071
$20,101,907
100.0%
Defined
Mega
JANE STREET GROUP, LLC
1
$19,447,545
0.16%
5,158,500
0.126%
+933,300
+22.1%
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
5,158,500
$19,447,545
100.0%
Defined
Small
MIC Capital Management UK LLP
$18,850,000
0.16%
5,000,000
0.122%
0
0.0%
Shares
2026-08-10
Small
Long Corridor Asset Management Ltd
$17,647,973
0.15%
4,681,160
0.114%
New
Shares
2026-08-12
Mid
Sustainable Growth Advisers, LP
$17,371,488
0.15%
4,607,822
0.113%
-1,203,336
-20.7%
Shares
2026-08-10
Mid
CAMBIAR INVESTORS LLC
$17,065,018
0.14%
4,526,530
0.111%
+731,534
+19.3%
Shares
2026-07-31
Mega
Sumitomo Mitsui Trust Group, Inc.
1
$14,913,795
0.13%
3,955,914
0.097%
-909,027
-18.7%
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
Amova Asset Management Co., Ltd.
3,955,914
$14,913,795
100.0%
Defined
Large
Unisphere Establishment
1
$14,911,597
0.13%
3,955,331
0.097%
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
Olayan Investments Co Establishment
joint
3,955,331
$14,911,597
100.0%
Defined
Large
SEI INVESTMENTS CO
2
$14,286,606
0.12%
3,789,551
0.093%
+125,363
+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
SEI INVESTMENTS MANAGEMENT CORP
48,123
$181,423
1.3%
Sole
SEI TRUST CO
3,741,428
$14,105,183
98.7%
Sole
Mega
California Public Employees Retirement System
Pension
$13,626,246
0.11%
3,614,389
0.088%
-226,843
-5.9%
Shares
2026-08-14
Mega
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
Pension
$13,488,683
0.11%
3,577,900
0.087%
+56,319
+1.6%
Shares
2026-08-24
Mega
Bank of New York Mellon Corp
Bank
8
$13,410,342
0.11%
3,557,122
0.087%
-446,132
-11.1%
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
1,615
$6,088
0.0%
Defined
Mellon Investments Corporation
joint
1,423,883
$5,368,037
40.0%
Defined
BNY Mellon Investment Adviser, Inc.
34,384
$129,627
1.0%
Defined
The Bank of New York Mellon
1,801,545
$6,791,824
50.6%
Defined
BNY Mellon, NA
joint
96,303
$363,060
2.7%
Defined
BNY Mellon Advisors, Inc.
13,874
$52,304
0.4%
Defined
Newton Investment Management North America, LLC
185,516
$699,395
5.2%
Defined
Held directly
2
$7
0.0%
Defined
Large
MARSHALL WACE, LLP
1
$13,208,186
0.11%
3,503,498
0.086%
-23,130,429
-86.8%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Mega
SG Americas Securities, LLC
Broker-Dealer
$12,736,281
0.11%
3,378,324
0.083%
-6,426,031
-65.5%
Shares
2026-08-07
Mega
SUSQUEHANNA INTERNATIONAL GROUP, LLP
1
$11,326,965
0.10%
3,004,500
0.073%
-817,100
-21.4%
Put
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mid
Groupe la Francaise
1
$10,805,630
0.09%
2,866,215
0.070%
-1,320,627
-31.5%
Shares
2026-08-25
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Caisse Federale de Credit Mutuel
joint
2,866,215
$10,805,630
100.0%
Defined
Large
WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC
$10,782,463
0.09%
2,860,070
0.070%
-846,828
-22.8%
Shares
2026-08-12
Mid
WOLVERINE ASSET MANAGEMENT LLC
1
$10,624,614
0.09%
2,818,200
0.069%
+150,000
+5.6%
Put
2026-08-10
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Wolverine Holdings, LLC
2,818,200
$10,624,614
100.0%
Defined
Mega
Mitsubishi UFJ Asset Management Co., Ltd.
1
$10,373,633
0.09%
2,751,627
0.067%
+37,459
+1.4%
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
2,751,627
$10,373,633
100.0%
Defined
Mid
ANTIPODES PARTNERS Ltd
$10,119,283
0.09%
2,684,160
0.066%
New
Shares
2026-08-06
Mega
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
$9,997,172
0.08%
2,651,770
0.065%
+236,864
+9.8%
Shares
2026-08-14
Mega
ROYAL BANK OF CANADA
Bank
6
$9,965,062
0.08%
2,643,253
0.065%
+933,122
+54.6%
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 Capital Markets, LLC
93,028
$350,715
3.5%
Defined
RBC Dominion Securities Inc.
38,700
$145,899
1.5%
Defined
RBC TRUSTEES (Jersey) LTD
2,500,000
$9,425,000
94.6%
Defined
RBC Trust Co (Delaware) Ltd
2,988
$11,264
0.1%
Defined
BREWIN DOLPHIN WEALTH MANAGEMENT LTD
2,220
$8,369
0.1%
Defined
Held directly
6,317
$23,815
0.2%
Sole
Small
Ramirez Asset Management, Inc.
$9,950,164
0.08%
2,639,301
0.065%
+214,947
+8.9%
Shares
2026-08-13
Large
Mediolanum International Funds Ltd
$9,479,050
0.08%
2,514,337
0.061%
-138,718
-5.2%
Shares
2026-07-23
Large
WORLDQUANT MILLENNIUM ADVISORS LLC
1
$9,443,001
0.08%
2,504,775
0.061%
+2,472,657
+7698.7%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mega
VANGUARD CAPITAL MANAGEMENT LLC
$9,065,304
0.08%
2,404,590
0.059%
+257,864
+12.0%
Shares
2026-08-13
Large
MACQUARIE GROUP LTD
3
$8,253,555
0.07%
2,189,272
0.054%
+132,116
+6.4%
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
Macquarie Bank Limited
1,955,390
$7,371,820
89.3%
Sole
Macquarie Investment Management (Europe) Limited
joint
138,882
$523,585
6.3%
Sole
Macquarie Capital Global Equities Pty Limited
95,000
$358,150
4.3%
Sole
Large
WCM INVESTMENT MANAGEMENT, LLC
$8,162,287
0.07%
2,165,063
0.053%
+1,142,817
+111.8%
Shares
2026-08-13
Mega
BARCLAYS PLC
3
$7,914,808
0.07%
2,099,419
0.051%
-2,836,820
-57.5%
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
BARCLAYS BANK PLC
1,085,457
$4,092,172
51.7%
Defined
BARCLAYS CAPITAL INC.
135,017
$509,014
6.4%
Defined
BARCLAYS CAPITAL SECURITIES LTD
878,945
$3,313,622
41.9%
Defined
Small
MATTHEWS INTERNATIONAL CAPITAL MANAGEMENT LLC
$7,837,830
0.07%
2,079,000
0.051%
+805,941
+63.3%
Shares
2026-07-31
Mega
Allianz Asset Management GmbH
1
$7,800,130
0.07%
2,069,000
0.051%
+453,813
+28.1%
Shares
2026-09-02
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Allianz Global Investors GmbH
2,069,000
$7,800,130
100.0%
Defined
Large
Mitsubishi UFJ Trust & Banking Corp
2
$7,696,416
0.06%
2,041,490
0.050%
+296,256
+17.0%
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
First Sentier Investors (Hong Kong) Ltd
1,055,402
$3,978,865
51.7%
Defined
Held directly
986,088
$3,717,551
48.3%
Sole
Large
APG Asset Management N.V.
1
$7,613,594
0.06%
2,019,521
0.049%
+571,702
+39.5%
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
STICHTING PENSIOENFONDS ABP
joint
2,019,521
$7,613,594
100.0%
Defined
Large
BNP PARIBAS ASSET MANAGEMENT Holding S.A.
1
$7,468,385
0.06%
1,981,004
0.048%
+72,041
+3.8%
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
1,981,004
$7,468,385
100.0%
Defined
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