Mega
BlackRock, Inc.
21
$5,253,341,416
10.30%
23,762,174
7.497%
New
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
789,730
$174,593,508
3.3%
Sole
BlackRock Investment Management (Australia) Ltd
185,732
$41,061,630
0.8%
Sole
BlackRock Asset Management Canada Ltd
440,984
$97,492,742
1.9%
Sole
BLACKROCK (SINGAPORE) LTD.
26,579
$5,876,085
0.1%
Sole
BlackRock Asset Management North Asia Ltd
60,746
$13,429,725
0.3%
Sole
BlackRock Investment Management, LLC
1,266,648
$280,030,539
5.3%
Sole
BLACKROCK ADVISORS LLC
1,091,667
$241,345,740
4.6%
Sole
BlackRock Fund Advisors
8,621,967
$1,906,144,464
36.3%
Sole
BlackRock Institutional Trust Company, N.A.
6,565,848
$1,451,577,675
27.6%
Sole
BlackRock Japan Co. Ltd
459,724
$101,635,781
1.9%
Sole
BlackRock Fund Managers Ltd.
155,178
$34,306,752
0.7%
Sole
BlackRock Investment Management (UK) Ltd.
405,524
$89,653,245
1.7%
Sole
BlackRock (Netherlands) B.V.
281,041
$62,132,544
1.2%
Sole
BlackRock International, Ltd.
24,059
$5,318,963
0.1%
Sole
BlackRock Asset Management Ireland Ltd
2,358,004
$521,307,524
9.9%
Sole
BlackRock Advisors (UK) Ltd
73,073
$16,154,978
0.3%
Sole
BlackRock Asset Management Deutschland AG
86,524
$19,128,725
0.4%
Sole
BlackRock (Luxembourg) S.A.
218,085
$48,214,231
0.9%
Sole
BlackRock Life Ltd
60,340
$13,339,967
0.3%
Sole
BlackRock Asset Management Schweiz AG
6,839
$1,511,966
0.0%
Sole
Aperio Group, LLC
583,882
$129,084,632
2.5%
Sole
Mega
VANGUARD CAPITAL MANAGEMENT LLC
$4,574,845,139
8.97%
20,693,166
6.529%
New
Shares
2026-08-13
Mega
Invesco Ltd.
10
$2,848,490,881
5.58%
12,884,435
4.065%
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
Invesco Advisers, Inc.
joint
1,411,483
$312,050,659
11.0%
Defined
Invesco Canada Ltd.
joint
424
$93,737
0.0%
Defined
Invesco Trust Co
joint
138,524
$30,624,885
1.1%
Defined
Invesco Hong Kong Limited
joint
3,321
$734,206
0.0%
Defined
Invesco Asset Management Limited
joint
4,279
$946,000
0.0%
Defined
Invesco Management S.A.
14,383
$3,179,793
0.1%
Defined
Invesco Asset Management (Japan) Limited
joint
7,645
$1,690,156
0.1%
Defined
Invesco Australia Ltd
joint
47
$10,390
0.0%
Defined
Invesco Investment Advisers LLC
8,489
$1,876,748
0.1%
Defined
Invesco Capital Management LLC
11,295,840
$2,497,284,307
87.7%
Defined
Mega
MORGAN STANLEY
13
$2,053,128,386
4.03%
9,286,812
2.930%
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
MORGAN STANLEY & CO INTERNATIONAL PLC
9,382
$2,074,172
0.1%
Defined
MORGAN STANLEY & CO. LLC
481,791
$106,514,354
5.2%
Defined
MORGAN STANLEY CAPITAL SERVICES, LLC
584,409
$129,201,141
6.3%
Defined
MORGAN STANLEY AIP GP LP
530
$117,171
0.0%
Defined
MORGAN STANLEY INVESTMENT MANAGEMENT INC
13,270
$2,933,730
0.1%
Defined
Morgan Stanley Investment Management LTD
11,019
$2,436,080
0.1%
Defined
MORGAN STANLEY SMITH BARNEY LLC
6,160,733
$1,362,014,850
66.3%
Defined
Parametric Sas
107
$23,655
0.0%
Defined
Morgan Stanley Wealth Management Australia Pty Ltd
87
$19,233
0.0%
Defined
Morgan Stanley Bank, N.A.
36,143
$7,990,494
0.4%
Defined
PARAMETRIC PORTFOLIO ASSOCIATES LLC
1,621,041
$358,379,743
17.5%
Defined
EATON VANCE MANAGEMENT
65,607
$14,504,395
0.7%
Defined
BOSTON MANAGEMENT & RESEARCH
302,693
$66,919,368
3.3%
Defined
Mega
GEODE CAPITAL MANAGEMENT, LLC
2
$1,814,350,942
3.56%
8,206,762
2.589%
New
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
1,038,616
$229,617,225
12.7%
Defined
Held directly
7,168,146
$1,584,733,717
87.3%
Defined
Mega
WELLINGTON MANAGEMENT GROUP LLP
4
$1,705,882,239
3.34%
7,716,131
2.434%
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
Wellington Management Company LLP
7,616,073
$1,683,761,418
98.7%
Defined
Wellington Managment Canada LLC
40,635
$8,983,585
0.5%
Defined
Wellington Management Hong Kong Ltd
18,948
$4,189,023
0.2%
Defined
Wellington Trust Company, NA
joint
40,475
$8,948,213
0.5%
Defined
Mega
VANGUARD PORTFOLIO MANAGEMENT LLC
$1,665,466,164
3.27%
7,533,319
2.377%
New
Shares
2026-08-13
Mega
GOLDMAN SACHS GROUP INC
6
$1,633,379,053
3.20%
7,388,181
2.331%
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
GOLDMAN SACHS & CO. LLC
5,330,827
$1,178,539,233
72.2%
Defined
GOLDMAN SACHS ASSET MANAGEMENT, L.P.
1,872,967
$414,075,544
25.4%
Defined
GOLDMAN SACHS INTERNATIONAL
17,979
$3,974,797
0.2%
Defined
GOLDMAN SACHS BANK AG
3,470
$767,147
0.0%
Defined
GOLDMAN SACHS WEALTH SERVICES, L.P.
144,534
$31,953,576
2.0%
Defined
Goldman Sachs Trust Company, N.A.
18,404
$4,068,756
0.2%
Defined
Mega
FRANKLIN RESOURCES INC
13
$1,436,067,138
2.82%
6,495,690
2.049%
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
FIDUCIARY TRUST CO INTERNATIONAL
144,214
$31,882,831
2.2%
Defined
Fiduciary Trust Co International of Pennsylvania
40,993
$9,062,732
0.6%
Defined
FIDUCIARY TRUST Co OF CANADA
223
$49,300
0.0%
Defined
Fiduciary Trust International of California
16,206
$3,582,822
0.2%
Defined
Fiduciary Trust International of the South
23,206
$5,130,382
0.4%
Defined
FIDUCIARY TRUST INTERNATIONAL LLC
35
$7,737
0.0%
Defined
FRANKLIN ADVISERS INC
1,617,595
$357,617,902
24.9%
Defined
FRANKLIN ADVISORY SERVICES LLC
1,570
$347,095
0.0%
Defined
PUTNAM INVESTMENT MANAGEMENT LLC
2,863,357
$633,030,965
44.1%
Defined
TEMPLETON GLOBAL ADVISORS LTD
699,656
$154,679,948
10.8%
Defined
TEMPLETON INVESTMENT COUNSEL LLC
170
$37,583
0.0%
Defined
PUTNAM ADVISORY CO LLC
1,088,300
$240,601,363
16.8%
Other
Held directly
165
$36,478
0.0%
Defined
Mega
MASSACHUSETTS FINANCIAL SERVICES CO /MA/
9
$1,106,558,675
2.17%
5,005,241
1.579%
New
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.
579,269
$128,064,790
11.6%
Defined
MFS Investment Management CO (LUX) S.A.R.L.
237,196
$52,439,291
4.7%
Defined
MFS International Singapore Pte. Ltd.
3,032
$670,314
0.1%
Defined
MFS International (U.K.) Ltd.
190,318
$42,075,503
3.8%
Defined
MFS Investment Management K.K.
43,645
$9,649,036
0.9%
Defined
MFS Heritage Trust CO
263,392
$58,230,703
5.3%
Defined
MFS INVESTMENT MANAGEMENT CANADA LTD
81,359
$17,986,847
1.6%
Defined
MFS International Australia Pty Ltd
70,621
$15,612,890
1.4%
Defined
Held directly
3,536,409
$781,829,301
70.7%
Sole
Mega
BANK OF AMERICA CORP /DE/
Bank
6
$1,034,187,255
2.03%
4,677,887
1.476%
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
BANK OF AMERICA NA
1,584,952
$350,401,188
33.9%
Defined
MERRILL LYNCH, PIERCE, FENNER & SMITH INC.
1,421,179
$314,194,253
30.4%
Defined
BOFA SECURITIES, INC.
93,927
$20,765,381
2.0%
Defined
MERRILL LYNCH INTERNATIONAL
10,190
$2,252,805
0.2%
Defined
U.S. TRUST Co OF DELAWARE
13,507
$2,986,127
0.3%
Defined
MANAGED ACCOUNT ADVISORS LLC
joint
1,554,132
$343,587,501
33.2%
Defined
Mega
JPMORGAN CHASE & CO
11
$858,088,410
1.68%
3,881,348
1.225%
New
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
33,295
$7,360,858
0.9%
Other
JPMorgan Chase Bank, N.A.
421,083
$93,093,028
10.8%
Other
J.P. Morgan Investment Management Inc.
936,903
$207,130,515
24.1%
Defined
J.P. Morgan Securities LLC
1,944,458
$429,880,774
50.1%
Defined
J.P. Morgan Securities plc
447,719
$98,981,716
11.5%
Defined
JPMorgan Asset Management (UK) Ltd
15,363
$3,396,452
0.4%
Defined
J.P. Morgan (Suisse) SA
414
$91,527
0.0%
Other
JPMorgan Asset Management (Asia Pacific) Ltd
1,039
$229,702
0.0%
Defined
JPMorgan Asset Management (Japan) Ltd
53
$11,717
0.0%
Defined
55I, LLC
6,504
$1,437,904
0.2%
Other
J.P. Morgan SE
74,517
$16,474,217
1.9%
Defined
Mega
ROYAL BANK OF CANADA
Bank
16
$770,652,152
1.51%
3,485,852
1.100%
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
RBC Global Asset Management Inc.
3,100
$685,348
0.1%
Defined
RBC CMA LTD.
6,462
$1,428,618
0.2%
Defined
RBC Capital Markets, LLC
1,715,632
$379,291,922
49.2%
Defined
RBC Dominion Securities Inc.
1,008,474
$222,953,431
28.9%
Defined
RBC Phillips, Hager & North Investment Counsel Inc.
218
$48,195
0.0%
Defined
RBC Private Counsel (USA) Inc.
33,066
$7,310,231
0.9%
Defined
ROYAL TRUST CORP OF CANADA/
15
$3,316
0.0%
Defined
RBC Trust Co (Delaware) Ltd
12,098
$2,674,625
0.3%
Defined
Royal Bank of Canada (Channel Islands) Ltd
79
$17,465
0.0%
Defined
CITY NATIONAL BANK
33,053
$7,307,356
0.9%
Defined
RBC Rochdale, LLC
136,482
$30,173,440
3.9%
Defined
RBC Trust Co (International) Ltd
50
$11,054
0.0%
Defined
RBC Dominion Securities Global Ltd
1,574
$347,979
0.0%
Defined
RBC Europe Ltd
200,000
$44,216,000
5.7%
Defined
BREWIN DOLPHIN WEALTH MANAGEMENT LTD
1,128
$249,378
0.0%
Defined
Held directly
334,421
$73,933,794
9.6%
Sole
Mega
AMERIPRISE FINANCIAL INC
4
$740,850,574
1.45%
3,351,052
1.057%
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
Columbia Management Investment Advisers, LLC
joint
3,152,880
$697,038,710
94.1%
Defined
Threadneedle Asset Management Holdings LTD
7,058
$1,560,382
0.2%
Defined
Ameriprise Financial Services, LLC
joint
183,688
$40,609,742
5.5%
Defined
Ameriprise Bank, FSB
7,426
$1,641,740
0.2%
Defined
Mega
Capital Research Global Investors
1
$729,535,259
1.43%
3,299,870
1.041%
New
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
3,299,870
$729,535,259
100.0%
Defined
Mega
Bank of New York Mellon Corp
Bank
9
$644,413,037
1.26%
2,914,841
0.920%
New
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
12,841
$2,838,887
0.4%
Defined
Mellon Investments Corporation
joint
823,362
$182,028,869
28.2%
Defined
BNY Mellon Investment Adviser, Inc.
20,390
$4,507,821
0.7%
Defined
BNY Mellon Securities Corporation
35,351
$7,815,399
1.2%
Defined
The Bank of New York Mellon
582,145
$128,700,616
20.0%
Defined
BNY Mellon, NA
joint
578,560
$127,908,042
19.8%
Defined
BNY Mellon Advisors, Inc.
joint
57,948
$12,811,143
2.0%
Defined
Newton Investment Management North America, LLC
joint
804,242
$177,801,818
27.6%
Defined
Held directly
2
$442
0.0%
Defined
Mega
UBS Group AG
3
$611,979,505
1.20%
2,768,136
0.873%
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
UBS Financial Services Inc
974,519
$215,446,660
35.2%
Defined
UBS AG
1,778,724
$393,240,301
64.3%
Defined
UBS Switzerland AG
14,893
$3,292,544
0.5%
Defined
Mega
Nuveen, LLC
3
$594,450,514
1.17%
2,688,848
0.848%
New
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
687,444
$151,980,119
25.6%
Defined
TIAA CREF INVESTMENT MANAGEMENT LLC
joint
1,367,746
$302,381,285
50.9%
Defined
TEACHERS ADVISORS, LLC
joint
633,658
$140,089,110
23.6%
Defined
Mega
NORTHERN TRUST CORP
Bank
5
$586,351,689
1.15%
2,652,215
0.837%
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
NORTHERN TRUST CO
joint
2,364,213
$522,680,209
89.1%
Defined
NORTHERN TRUST GLOBAL INVESTMENTS LTD
184,724
$40,838,781
7.0%
Defined
Northern Trust Asset Management Australia Pty Ltd
79,940
$17,673,135
3.0%
Defined
Northern Trust Co of Hong Kong Ltd
9,045
$1,999,668
0.3%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
joint
14,293
$3,159,896
0.5%
Other
Mega
BARCLAYS PLC
5
$509,050,183
1.00%
2,302,561
0.726%
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
BARCLAYS BANK PLC
1,904,049
$420,947,152
82.7%
Defined
BARCLAYS CAPITAL INC.
45,783
$10,121,705
2.0%
Defined
BARCLAYS CAPITAL SECURITIES LTD
135,090
$29,865,697
5.9%
Defined
Barclays Bank (Suisse) SA
866
$191,455
0.0%
Defined
Barclays Capital Luxembourg SaRL
216,773
$47,924,174
9.4%
Defined
Large
Unisphere Establishment
1
$458,741,000
0.90%
2,075,000
0.655%
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
Olayan Investments Co Establishment
joint
2,075,000
$458,741,000
100.0%
Defined
Mega
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
$449,054,821
0.88%
2,031,187
0.641%
New
Shares
2026-08-14
Large
FIRST MANHATTAN CO. LLC.
$414,688,599
0.81%
1,875,740
0.592%
New
Shares
2026-08-14
Mega
VANGUARD FIDUCIARY TRUST CO
Bank
$393,313,479
0.77%
1,779,055
0.561%
New
Shares
2026-08-13
Mega
DIMENSIONAL FUND ADVISORS LP
5
$387,269,814
0.76%
1,751,718
0.553%
New
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.
12,676
$2,802,410
0.7%
Defined
DFA Australia Ltd.
104,418
$23,084,731
6.0%
Defined
Dimensional Fund Advisors Pte. Ltd.
3,883
$858,453
0.2%
Defined
Dimensional Ireland Ltd
80,353
$17,764,441
4.6%
Defined
Held directly
1,550,388
$342,759,779
88.5%
Sole
Mega
WELLS FARGO & COMPANY/MN
6
$381,214,210
0.75%
1,724,327
0.544%
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
WELLS FARGO BANK N A
245,505
$54,276,245
14.2%
Defined
WELLS FARGO ADVISORS FINANCIAL NETWORK, LLC
378,726
$83,728,744
22.0%
Defined
WELLS FARGO CLEARING SERVICES, LLC
1,032,261
$228,212,261
59.9%
Defined
WELLS FARGO DELAWARE TRUST CO, N.A.
4,315
$953,960
0.3%
Defined
Wells Fargo Securities, LLC
23,635
$5,225,225
1.4%
Defined
WELLS FARGO INVESTMENT INSTITUTE, INC.
39,885
$8,817,775
2.3%
Defined
Mega
Boston Partners
2
$378,144,737
0.74%
1,710,443
0.540%
New
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
Boston Partners Trust Co
399,370
$88,292,719
23.3%
Defined
Held directly
1,311,073
$289,852,018
76.7%
Other
Mega
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC
5
$370,543,782
0.73%
1,676,062
0.529%
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
UBS Group AG
169,401
$37,451,173
10.1%
Defined
UBS Asset Management Switzerland AG
600,891
$132,844,981
35.9%
Defined
UBS Asset Management (UK) Ltd.
707,624
$156,441,512
42.2%
Defined
UBS Asset Management Life Ltd.
57,051
$12,612,835
3.4%
Defined
Held directly
141,095
$31,193,281
8.4%
Defined
Mega
Legal & General Group Plc
2
$356,437,334
0.70%
1,612,255
0.509%
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
Legal & General Investment Management America Inc
594,964
$131,534,641
36.9%
Defined
Legal & General Investment Management Ltd
joint
1,017,291
$224,902,693
63.1%
Defined
Mega
SG Americas Securities, LLC
Broker-Dealer
$346,501,115
0.68%
1,567,311
0.494%
New
Shares
2026-08-07
Mega
Clearbridge Investments, LLC
2
$285,315,456
0.56%
1,290,553
0.407%
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
FRANKLIN TEMPLETON INVESTMENTS CORP
6,419
$1,419,112
0.5%
Defined
Held directly
1,284,134
$283,896,344
99.5%
Sole
Large
CAPITOLIS LIQUID GLOBAL MARKETS LLC
$250,633,753
0.49%
1,133,679
0.358%
New
Shares
2026-08-13
Mega
FMR LLC
5
$245,775,739
0.48%
1,111,705
0.351%
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
Fidelity Management & Research Co LLC
344,171
$76,089,324
31.0%
Defined
FIDELITY MANAGEMENT TRUST CO
179,854
$39,762,122
16.2%
Defined
STRATEGIC ADVISERS LLC
462,682
$102,289,736
41.6%
Defined
FIAM LLC
100,406
$22,197,758
9.0%
Defined
Fidelity Diversifying Solutions LLC
24,592
$5,436,799
2.2%
Defined
Mega
PRICE T ROWE ASSOCIATES INC /MD/
2
$219,052,474
0.43%
990,829
0.313%
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
T. Rowe Price International Ltd
460,712
$101,854,208
46.5%
Defined
Held directly
530,117
$117,198,266
53.5%
Sole
Large
STIFEL FINANCIAL CORP
8
$205,835,424
0.40%
931,045
0.294%
New
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\
668,542
$147,801,265
71.8%
Defined
EquityCompass Investment Management
25
$5,527
0.0%
Defined
Stifel Independent Advisors, LLC
1,076
$237,882
0.1%
Defined
1919 Investment Counsel, LLC
108,936
$24,083,570
11.7%
Defined
Stifel Trust Company, N.A.
14,584
$3,224,230
1.6%
Defined
Stifel Trust Co Delaware, N.A.
3,158
$698,170
0.3%
Defined
Washington Crossing Advisers LLC
133,937
$29,610,791
14.4%
Defined
Held directly
787
$173,989
0.1%
Defined
Mega
Mitsubishi UFJ Asset Management Co., Ltd.
1
$205,602,189
0.40%
929,990
0.293%
New
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
929,990
$205,602,189
100.0%
Defined
Mega
Swiss National Bank
Bank
$198,198,220
0.39%
896,500
0.283%
New
Shares
2026-08-11
Mega
BNP PARIBAS ARBITRAGE, SA
$192,132,005
0.38%
869,061
0.274%
New
Shares
2026-08-13
Mega
RAYMOND JAMES FINANCIAL INC
3
$183,678,789
0.36%
830,825
0.262%
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
RAYMOND JAMES & ASSOCIATES
586,771
$129,723,332
70.6%
Defined
Raymond James Financial Services Advisors, Inc.
214,884
$47,506,554
25.9%
Defined
RAYMOND JAMES TRUST N.A.
29,170
$6,448,903
3.5%
Defined
Mega
AMERICAN CENTURY COMPANIES INC
1
$183,175,391
0.36%
828,548
0.261%
New
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Mega
ALLIANCEBERNSTEIN L.P.
1
$182,846,203
0.36%
827,059
0.261%
New
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Large
NOMURA HOLDINGS INC
1
$176,864,000
0.35%
800,000
0.252%
New
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
NOMURA GLOBAL FINANCIAL PRODUCTS INC
800,000
$176,864,000
100.0%
Defined
Mega
CANADA PENSION PLAN INVESTMENT BOARD
Pension
$174,913,853
0.34%
791,179
0.250%
New
Shares
2026-08-14
Mega
National Pension Service
Pension
$165,939,552
0.33%
750,586
0.237%
New
Shares
2026-08-13
Mega
PNC FINANCIAL SERVICES GROUP, INC.
4
$164,841,445
0.32%
745,619
0.235%
New
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
PNC Bank, National Association
725,115
$160,308,423
97.3%
Defined
PNC Delaware Trust Company
9,335
$2,063,780
1.3%
Defined
PNC Ohio Trust Company
3,191
$705,466
0.4%
Defined
PNC Wealth Management LLC
7,978
$1,763,776
1.1%
Defined
Mega
HSBC HOLDINGS PLC
7
$156,363,468
0.31%
707,271
0.223%
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
HSBC Bank USA, N.A.
137,582
$30,416,628
19.5%
Defined
HSBC Global Asset Management (Hong Kong) Ltd
26
$5,748
0.0%
Defined
HSBC Global Asset Management (UK) Ltd
326,847
$72,259,334
46.2%
Defined
Hang Seng Investment Management Ltd
846
$187,033
0.1%
Defined
HSBC PRIVATE BANK (SUISSE) LTD
4,912
$1,085,944
0.7%
Defined
Hongkong & Shanghai Banking Corp Ltd / ASP
11,066
$2,446,471
1.6%
Defined
HSBC BANK PLC
225,992
$49,962,310
32.0%
Defined
Mega
CITADEL ADVISORS LLC
2
$155,760,808
0.31%
704,545
0.222%
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
Citadel Securities GP LLC
117,678
$26,016,252
16.7%
Defined
Held directly
586,867
$129,744,556
83.3%
Defined
Mega
California Public Employees Retirement System
Pension
$152,417,857
0.30%
689,424
0.218%
New
Shares
2026-08-14
Mega
Vanguard Global Advisers, LLC
$150,872,508
0.30%
682,434
0.215%
New
Shares
2026-08-13
Mega
DEUTSCHE BANK AG\
Bank
9
$146,529,829
0.29%
662,791
0.209%
New
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
7,629
$1,686,618
1.2%
Defined
DWS Investment GmbH
19,503
$4,311,723
2.9%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
45,442
$10,046,317
6.9%
Defined
DEUTSCHE BANK NATIONAL TRUST Co
5,891
$1,302,382
0.9%
Defined
Deutsche Bank Trust Co Delaware
450
$99,486
0.1%
Other
DEUTSCHE BANK TRUST COMPANY, NATIONAL ASSOCIATION
5,100
$1,127,507
0.8%
Defined
DWS Investments UK Ltd
493,282
$109,054,784
74.4%
Defined
DBX Advisors LLC
24,759
$5,473,719
3.7%
Defined
DWS International GmbH
60,735
$13,427,293
9.2%
Defined
Mega
VANGUARD ASSET MANAGEMENT, Ltd
$144,057,054
0.28%
651,606
0.206%
New
Shares
2026-08-13
Mega
ENVESTNET ASSET MANAGEMENT INC
$138,032,403
0.27%
624,355
0.197%
New
Shares
2026-08-03
Mega
MILLENNIUM MANAGEMENT LLC
$136,198,986
0.27%
616,062
0.194%
New
Shares
2026-08-14
Mega
AQR CAPITAL MANAGEMENT LLC
9
$131,587,475
0.26%
595,203
0.188%
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
KEB ASSET MANAGEMENT, LLC
40
$8,843
0.0%
Other
RF&L WEALTH MANAGEMENT, LLC
17
$3,758
0.0%
Other
Prism Planning Partners LLC
131
$28,961
0.0%
Other
Compound Planning, Inc.
19
$4,200
0.0%
Other
Arax Advisory Partners
4,321
$955,286
0.7%
Other
HALBERT HARGROVE GLOBAL ADVISORS, LLC
2,403
$531,255
0.4%
Other
Stokes Family Office, LLC
23
$5,084
0.0%
Other
NATIONAL MUTUAL FUNDS MANAGEMENT LTD
13,355
$2,952,523
2.2%
Other
Held directly
574,894
$127,097,565
96.6%
Defined
Mega
LPL Financial LLC
$130,953,642
0.26%
592,336
0.187%
New
Shares
2026-08-07
Mega
CITIGROUP INC
2
$128,198,763
0.25%
579,875
0.183%
New
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, N.A.
joint
31,271
$6,913,392
5.4%
Defined
Citigroup Financial Products Inc.
joint
548,604
$121,285,371
94.6%
Defined
Large
Eurizon Capital SGR S.p.A.
1
$125,492,563
0.25%
568,354
0.179%
New
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.
568,354
$125,492,563
100.0%
Other
Large
ING GROEP NV
$123,860,512
0.24%
560,252
0.177%
New
Shares
2026-08-13
Mega
RHUMBLINE ADVISERS
$116,971,438
0.23%
529,091
0.167%
New
Shares
2026-08-12
Mega
FIRST TRUST ADVISORS LP
2
$114,138,297
0.22%
516,276
0.163%
New
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
Horizon Investments, LLC
819
$181,064
0.2%
Other
Held directly
515,457
$113,957,233
99.8%
Sole
Mega
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
Pension
$108,800,100
0.21%
492,130
0.155%
New
Shares
2026-08-24
Large
Harel Insurance Investments & Financial Services Ltd.
Insurance
1
$106,076,956
0.21%
480,421
0.152%
New
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
Harel Insurance Co LTD
480,421
$106,076,956
100.0%
Defined
Mega
NEUBERGER BERMAN GROUP LLC
$102,685,468
0.20%
464,472
0.147%
New
Shares
2026-08-13
Large
BLAIR WILLIAM & CO/IL
$100,386,016
0.20%
454,071
0.143%
New
Shares
2026-08-11
Large
KING LUTHER CAPITAL MANAGEMENT CORP
$100,115,414
0.20%
452,847
0.143%
New
Shares
2026-08-10
Mid
Haverford Trust Co
Bank
$98,787,387
0.19%
446,840
0.141%
New
Shares
2026-08-12
Large
BANK OF NOVA SCOTIA
Bank
3
$96,754,997
0.19%
437,647
0.138%
New
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
6,577
$1,454,043
1.5%
Defined
Bank of Nova Scotia Trust Co (Bahamas) Ltd
1,972
$435,969
0.5%
Defined
Held directly
429,098
$94,864,985
98.0%
Sole
Large
NATIXIS ADVISORS, LLC
2
$93,532,756
0.18%
423,072
0.133%
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
Vaughn Nelson Investment Management, L.P.
35,787
$7,911,789
8.5%
Other
Natixis Investment Managers, L.P.
387,285
$85,620,967
91.5%
Defined
Large
Aberdeen Group plc
3
$92,756,534
0.18%
420,093
0.133%
New
Shares
2026-07-31
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
abrdn Inc.
25,800
$5,696,640
6.1%
Defined
abrdn Investment Management Ltd
301,744
$66,625,075
71.8%
Defined
abrdn Investments Ltd
92,549
$20,434,819
22.0%
Defined
Mid
CINCINNATI FINANCIAL CORP
$92,577,250
0.18%
418,750
0.132%
New
Shares
2026-08-06
Large
US BANCORP \DE\
Bank
3
$88,546,738
0.17%
400,519
0.126%
New
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
US BANK NATIONAL ASSOCIATION
392,341
$86,738,747
98.0%
Defined
U.S. BANCORP ASSET MANAGEMENT INC
7,187
$1,588,901
1.8%
Defined
U.S. BANCORP ADVISORS, LLC
991
$219,090
0.2%
Defined
Mega
VICTORY CAPITAL MANAGEMENT INC
$88,536,791
0.17%
400,474
0.126%
New
Shares
2026-08-07
Large
Focus Partners Wealth
$87,540,826
0.17%
395,969
0.125%
New
Shares
2026-08-12
Large
NEW YORK STATE COMMON RETIREMENT FUND
Pension
$84,921,446
0.17%
384,608
0.121%
New
Shares
2026-07-29
Large
Thrivent Financial for Lutherans
2
$83,432,717
0.16%
377,387
0.119%
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
Thrivent Asset Management, LLC
188,867
$41,754,716
50.0%
Defined
Held directly
188,520
$41,678,001
50.0%
Sole
Mega
PRINCIPAL FINANCIAL GROUP INC
$83,161,009
0.16%
376,158
0.119%
New
Shares
2026-08-04
Mid
Nearwater Capital Markets, Ltd
$77,046,380
0.15%
348,500
0.110%
New
Shares
2026-08-14
Large
MACQUARIE GROUP LTD
3
$76,959,716
0.15%
348,108
0.110%
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
Macquarie Bank Limited
321,166
$71,003,379
92.3%
Sole
Macquarie Investment Management (Europe) Limited
joint
25,376
$5,610,126
7.3%
Sole
Macquarie Financial Limited
1,566
$346,211
0.4%
Sole
Large
ProShare Advisors LLC
$76,547,402
0.15%
346,243
0.109%
New
Shares
2026-08-11
Large
FIFTH THIRD BANCORP
Bank
1
$75,626,604
0.15%
342,078
0.108%
New
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
Fifth Third Bank, National Association
342,078
$75,626,604
100.0%
Defined
Mid
Blue Whale Capital LLP
$73,411,382
0.14%
332,058
0.105%
New
Shares
2026-08-13
Large
PINEBRIDGE INVESTMENTS LLC
$73,096,564
0.14%
330,634
0.104%
New
Shares
2026-08-14
Large
NOMURA ASSET MANAGEMENT CO LTD
3
$70,991,660
0.14%
321,113
0.101%
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
Nomura Asset Management Malaysia Sdn. Bhd.
1,135
$250,925
0.4%
Sole
Nomura Asset Management U.K. Ltd
4,694
$1,037,749
1.5%
Sole
Held directly
315,284
$69,702,986
98.2%
Sole
Large
Ensign Peak Advisors, Inc
$70,603,666
0.14%
319,358
0.101%
New
Shares
2026-08-14
Mega
Amundi
1
$69,369,819
0.14%
313,777
0.099%
New
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
313,777
$69,369,819
100.0%
Defined
Large
CIBC Bancorp USA Inc.
Bank
3
$66,333,505
0.13%
300,043
0.095%
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
CIBC Private Wealth Advisors, Inc.
45,185
$9,989,499
15.1%
Defined
CIBC National Trust Co
10,469
$2,314,486
3.5%
Defined
CIBC WORLD MARKETS CORP
244,389
$54,029,520
81.5%
Defined
Mega
Sumitomo Mitsui Trust Group, Inc.
1
$65,471,395
0.13%
296,519
0.094%
New
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.
296,519
$65,471,395
100.0%
Defined
Large
AVIVA PLC
1
$64,143,045
0.13%
290,135
0.092%
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
AVIVA INVESTORS GLOBAL SERVICES LTD
290,135
$64,143,045
100.0%
Defined
Large
Cerity Partners LLC
$62,390,100
0.12%
282,206
0.089%
New
Shares
2026-08-14
Large
Rokos Capital Management LLP
1
$61,770,636
0.12%
279,404
0.088%
New
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mid
MIZUHO MARKETS AMERICAS LLC
$60,686,880
0.12%
274,850
0.087%
New
Shares
2026-07-24
Mid
Altshuler Shaham Ltd
1
$60,354,840
0.12%
273,000
0.086%
New
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
Altshuler Shaham Provident & Pension Funds Ltd.
273,000
$60,354,840
100.0%
Defined
Large
STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM
Pension
$60,112,315
0.12%
271,903
0.086%
New
Shares
2026-08-10
Large
BNP PARIBAS ASSET MANAGEMENT Holding S.A.
3
$60,005,312
0.12%
271,419
0.086%
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
BNP PARIBAS ASSET MANAGEMENT Europe
110,866
$24,510,255
40.8%
Defined
AXA INVESTMENT MANAGERS UK LIMITED
153,252
$33,880,952
56.5%
Defined
AXA INVESTMENT MANAGERS US INC.
7,301
$1,614,105
2.7%
Defined
Large
Universal- Beteiligungs- und Servicegesellschaft mbH
1
$58,244,852
0.11%
263,456
0.083%
New
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
Universal-Investment-Gesellschaft mbH
joint
263,456
$58,244,852
100.0%
Defined
Large
Penserra Capital Management LLC
$57,631,580
0.11%
260,709
0.082%
New
Shares
2026-08-13
Large
Allspring Global Investments Holdings, LLC
2
$57,586,696
0.11%
260,479
0.082%
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
Allspring Funds Management, LLC reporting on behalf of Morgan Stanley Smith Barney, LLC
24,464
$5,408,500
9.4%
Other
Allspring Global Investments, LLC reporting on behalf of UBS ASSET MANAGEMENT AMERICAS INC
236,015
$52,178,196
90.6%
Defined
Large
Empower Advisory Group, LLC
$56,841,878
0.11%
257,110
0.081%
New
Shares
2026-08-12
Large
KEYBANK NATIONAL ASSOCIATION/OH
Bank
2
$56,750,236
0.11%
257,021
0.081%
New
Shares
2026-07-28
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Manager 2
254,767
$56,252,553
99.1%
Defined
Key National Trust Co of Delaware
2,254
$497,683
0.9%
Defined
Mid
LOCUST WOOD CAPITAL ADVISERS, LLC
$56,688,891
0.11%
256,418
0.081%
New
Shares
2026-08-10
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