Mega
BlackRock, Inc.
21
$4,139,389,203
9.65%
24,406,776
8.885%
+392,347
+1.6%
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
BLACKROCK FINANCIAL MANAGEMENT INC/DE
761,061
$129,075,945
3.1%
Sole
BlackRock Investment Management (Australia) Ltd
287,933
$48,833,436
1.2%
Sole
BlackRock Asset Management Canada Ltd
456,885
$77,487,696
1.9%
Sole
BLACKROCK (SINGAPORE) LTD.
42,306
$7,175,097
0.2%
Sole
BlackRock Asset Management North Asia Ltd
50,395
$8,546,992
0.2%
Sole
BlackRock Investment Management, LLC
443,633
$75,240,156
1.8%
Sole
BLACKROCK ADVISORS LLC
149,412
$25,340,275
0.6%
Sole
BlackRock Fund Advisors
9,890,855
$1,677,489,008
40.5%
Sole
BlackRock Institutional Trust Company, N.A.
5,557,241
$942,508,073
22.8%
Sole
BlackRock Japan Co. Ltd
288,533
$48,935,196
1.2%
Sole
BlackRock Fund Managers Ltd.
995,116
$168,771,673
4.1%
Sole
BlackRock Investment Management (UK) Ltd.
775,272
$131,486,131
3.2%
Sole
BlackRock (Netherlands) B.V.
901,960
$152,972,416
3.7%
Sole
BlackRock International, Ltd.
255
$43,248
0.0%
Sole
BlackRock Asset Management Ireland Ltd
2,542,419
$431,194,262
10.4%
Sole
BlackRock Advisors (UK) Ltd
14,622
$2,479,891
0.1%
Sole
BlackRock (Luxembourg) S.A.
52,315
$8,872,624
0.2%
Sole
BlackRock Life Ltd
77,322
$13,113,811
0.3%
Sole
BlackRock Asset Management Schweiz AG
10,415
$1,766,384
0.0%
Sole
Aperio Group, LLC
1,092,750
$185,330,400
4.5%
Sole
SpiderRock Advisors, LLC
16,076
$2,726,489
0.1%
Sole
Mega
VANGUARD CAPITAL MANAGEMENT LLC
$2,985,584,128
6.96%
17,603,680
6.408%
-49,990
-0.3%
Shares
2026-08-13
Mega
VANGUARD PORTFOLIO MANAGEMENT LLC
$2,498,990,195
5.82%
14,734,612
5.364%
-1,380,644
-8.6%
Shares
2026-08-13
Mega
FMR LLC
6
$2,359,354,273
5.50%
13,911,287
5.064%
+2,370,660
+20.5%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Fidelity Management & Research Co LLC
8,733,986
$1,481,284,025
62.8%
Defined
FIDELITY MANAGEMENT TRUST CO
282,541
$47,918,953
2.0%
Defined
STRATEGIC ADVISERS LLC
1,659,194
$281,399,302
11.9%
Defined
Fidelity Institutional Asset Management Trust Co
9,185
$1,557,776
0.1%
Defined
FIAM LLC
3,190,901
$541,176,809
22.9%
Defined
Fidelity Diversifying Solutions LLC
35,480
$6,017,408
0.3%
Defined
Mega
STATE STREET CORP
1
$2,296,097,545
5.35%
13,538,311
4.928%
+163,362
+1.2%
Shares
2026-08-07
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
STATE STREET BANK AND TRUST COMPANY
joint
13,538,311
$2,296,097,545
100.0%
Defined
Mid
REGENTS OF THE UNIVERSITY OF CALIFORNIA
Endowment
$1,682,064,137
3.92%
9,917,831
3.610%
-147,287
-1.5%
Shares
2026-08-11
Mega
GEODE CAPITAL MANAGEMENT, LLC
2
$1,257,906,748
2.93%
7,416,903
2.700%
-324,867
-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
903,206
$153,183,737
12.2%
Defined
Held directly
6,513,697
$1,104,723,011
87.8%
Defined
Mega
Invesco Ltd.
12
$1,114,658,510
2.60%
6,572,279
2.393%
-1,253,643
-16.0%
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
Invesco Advisers, Inc.
joint
2,645,874
$448,740,230
40.3%
Defined
Invesco Canada Ltd.
joint
3,540
$600,384
0.1%
Defined
Invesco Trust Co
joint
109,568
$18,582,732
1.7%
Defined
Invesco Hong Kong Limited
joint
24,106
$4,088,376
0.4%
Defined
Invesco Asset Management Limited
joint
76,737
$13,014,594
1.2%
Defined
Invesco Management S.A.
joint
290,341
$49,241,832
4.4%
Defined
Invesco Asset Management (Japan) Limited
joint
10,336
$1,752,985
0.2%
Defined
Invesco Australia Ltd
joint
509
$86,326
0.0%
Defined
Invesco Investment Advisers LLC
34,549
$5,859,510
0.5%
Defined
Invesco Capital Management LLC
3,360,070
$569,867,872
51.1%
Defined
Invesco Asset Management Singapore Ltd
joint
3,283
$556,796
0.0%
Defined
Invesco Managed Accounts, LLC
13,366
$2,266,873
0.2%
Defined
Large
HARRIS ASSOCIATES L P
2
$808,195,897
1.88%
4,765,306
1.735%
-1,382,629
-22.5%
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
NATIXIS ADVISORS, LLC
223,466
$37,899,833
4.7%
Other
Held directly
4,541,840
$770,296,064
95.3%
Sole
Mega
MORGAN STANLEY
15
$802,545,157
1.87%
4,731,988
1.723%
-221,869
-4.5%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
MORGAN STANLEY & CO INTERNATIONAL PLC
3,144
$533,222
0.1%
Defined
MORGAN STANLEY & CO. LLC
188,705
$32,004,368
4.0%
Defined
MORGAN STANLEY CAPITAL SERVICES, LLC
536,519
$90,993,622
11.3%
Defined
MORGAN STANLEY AIP GP LP
1,939
$328,854
0.0%
Defined
MORGAN STANLEY INVESTMENT MANAGEMENT INC
20,299
$3,442,709
0.4%
Defined
Morgan Stanley Investment Management LTD
19,751
$3,349,769
0.4%
Defined
MORGAN STANLEY SMITH BARNEY LLC
1,733,948
$294,077,580
36.6%
Defined
Morgan Stanley Strategic Investments, Inc
20
$3,392
0.0%
Defined
MORGAN STANLEY LATAM LLC
1
$169
0.0%
Defined
Morgan Stanley Bank, N.A.
61,159
$10,372,566
1.3%
Defined
PARAMETRIC PORTFOLIO ASSOCIATES LLC
1,876,997
$318,338,690
39.7%
Defined
EATON VANCE MANAGEMENT
56,034
$9,503,366
1.2%
Defined
Calvert Research & Management
94,483
$16,024,316
2.0%
Defined
BOSTON MANAGEMENT & RESEARCH
131,850
$22,361,760
2.8%
Defined
Eaton Vance Advisers International Ltd
7,139
$1,210,774
0.2%
Defined
Mega
VICTORY CAPITAL MANAGEMENT INC
$763,570,236
1.78%
4,502,183
1.639%
+2,531,667
+128.5%
Shares
2026-08-07
Mega
JPMORGAN CHASE & CO
12
$751,123,966
1.75%
4,428,797
1.612%
-2,044,739
-31.6%
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
J.P. Morgan Trust Co of Delaware
2,636
$447,065
0.1%
Other
JPMorgan Chase Bank, N.A.
388,466
$65,883,833
8.8%
Other
J.P. Morgan Investment Management Inc.
2,886,242
$489,506,643
65.2%
Defined
J.P. Morgan Securities LLC
269,739
$45,747,734
6.1%
Defined
JPMorgan Asset Management (UK) Ltd
174,379
$29,574,678
3.9%
Defined
JPMorgan Asset Management (Canada) Inc.
9,646
$1,635,961
0.2%
Defined
JPMorgan Asset Management (Asia Pacific) Ltd
22,045
$3,738,832
0.5%
Defined
JPMorgan Asset Management (Japan) Ltd
9,055
$1,535,728
0.2%
Defined
JPMorgan Asset Management (Taiwan) Ltd
5,900
$1,000,640
0.1%
Defined
55I, LLC
1,236
$209,624
0.0%
Other
J.P. Morgan SE
6,477
$1,098,499
0.1%
Defined
J.P. MORGAN MANSART MANAGEMENT Ltd
652,976
$110,744,729
14.7%
Defined
Mega
FRANKLIN RESOURCES INC
12
$742,400,250
1.73%
4,377,360
1.593%
+123,980
+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
Brandywine Global Investment Management, LLC
182,150
$30,892,640
4.2%
Defined
FIDUCIARY TRUST CO INTERNATIONAL
27,432
$4,652,467
0.6%
Defined
Fiduciary Trust Co International of Pennsylvania
5,786
$981,305
0.1%
Defined
Fiduciary Trust International of California
27
$4,579
0.0%
Defined
Fiduciary Trust International of the South
200
$33,920
0.0%
Defined
FIDUCIARY TRUST INTERNATIONAL LLC
17,308
$2,935,436
0.4%
Defined
FRANKLIN ADVISERS INC
708,476
$120,157,529
16.2%
Defined
FRANKLIN ADVISORY SERVICES LLC
49,014
$8,312,774
1.1%
Defined
Franklin Templeton International Services S.a r.l
29,368
$4,980,812
0.7%
Defined
PUTNAM INVESTMENT MANAGEMENT LLC
2,434,853
$412,951,068
55.6%
Defined
PUTNAM ADVISORY CO LLC
920,568
$156,128,332
21.0%
Other
Held directly
2,178
$369,388
0.0%
Defined
Large
LSV ASSET MANAGEMENT
$690,090,188
1.61%
4,068,928
1.481%
-16,918
-0.4%
Shares
2026-08-06
Mega
NORTHERN TRUST CORP
Bank
8
$670,197,630
1.56%
3,951,637
1.439%
-47,961
-1.2%
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
2,811,264
$476,790,373
71.1%
Defined
NORTHERN TRUST GLOBAL INVESTMENTS LTD
770,346
$130,650,681
19.5%
Defined
NT Global Advisors, Inc
6,531
$1,107,657
0.2%
Defined
Northern Trust Asset Management Australia Pty Ltd
325,382
$55,184,787
8.2%
Defined
Northern Trust Co of Hong Kong Ltd
18,148
$3,077,900
0.5%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
joint
12,439
$2,109,654
0.3%
Other
Green Century Capital Management, Inc.
joint
7,234
$1,226,886
0.2%
Other
MILFAM LLC
joint
293
$49,692
0.0%
Other
Mega
DIMENSIONAL FUND ADVISORS LP
5
$530,844,098
1.24%
3,129,977
1.139%
+28,025
+0.9%
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
Dimensional Fund Advisors Ltd.
16,110
$2,732,256
0.5%
Defined
DFA Australia Ltd.
145,937
$24,750,915
4.7%
Defined
Dimensional Fund Advisors Pte. Ltd.
5,508
$934,156
0.2%
Defined
Dimensional Ireland Ltd
458,952
$77,838,259
14.7%
Defined
Held directly
2,503,470
$424,588,512
80.0%
Sole
Mega
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC
5
$502,401,666
1.17%
2,962,274
1.078%
+137,798
+4.9%
Shares
2026-08-13
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
UBS Group AG
170,290
$28,881,184
5.7%
Defined
UBS Asset Management Switzerland AG
879,000
$149,078,398
29.7%
Defined
UBS Asset Management (UK) Ltd.
1,126,461
$191,047,784
38.0%
Defined
UBS Asset Management Life Ltd.
45,995
$7,800,752
1.6%
Defined
Held directly
740,528
$125,593,548
25.0%
Defined
Mega
GOLDMAN SACHS GROUP INC
5
$483,267,226
1.13%
2,849,453
1.037%
+122,017
+4.5%
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
761,209
$129,101,046
26.7%
Defined
GOLDMAN SACHS ASSET MANAGEMENT, L.P.
2,039,553
$345,908,188
71.6%
Defined
GOLDMAN SACHS INTERNATIONAL
9,119
$1,546,582
0.3%
Defined
GOLDMAN SACHS WEALTH SERVICES, L.P.
1,636
$277,465
0.1%
Defined
Goldman Sachs Trust Company, N.A.
37,936
$6,433,945
1.3%
Defined
Mega
NORDEA INVESTMENT MANAGEMENT AB
3
$482,456,879
1.12%
2,844,675
1.036%
-20,058
-0.7%
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
1,930,482
$327,409,747
67.9%
Defined
Nordea Investment Funds S.A.
853,461
$144,746,985
30.0%
Defined
Held directly
60,732
$10,300,147
2.1%
Sole
Mega
FIRST TRUST ADVISORS LP
$364,444,281
0.85%
2,148,846
0.782%
-619,218
-22.4%
Shares
2026-08-11
Mega
AQR CAPITAL MANAGEMENT LLC
8
$339,646,385
0.79%
2,002,632
0.729%
+367,705
+22.5%
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
Prism Planning Partners LLC
386
$65,465
0.0%
Other
Compound Planning, Inc.
91
$15,433
0.0%
Other
DOPKINS WEALTH MANAGEMENT, LLC
7
$1,187
0.0%
Other
Arax Advisory Partners
1,889
$320,374
0.1%
Other
HALBERT HARGROVE GLOBAL ADVISORS, LLC
3,405
$577,488
0.2%
Other
Stokes Family Office, LLC
1,535
$260,336
0.1%
Other
NATIONAL MUTUAL FUNDS MANAGEMENT LTD
10,182
$1,726,867
0.5%
Other
Held directly
1,985,137
$336,679,235
99.1%
Defined
Large
HOTCHKIS & WILEY CAPITAL MANAGEMENT LLC
$339,436,422
0.79%
2,001,394
0.729%
-2,234,697
-52.8%
Shares
2026-08-14
Mega
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
$333,708,691
0.78%
1,967,622
0.716%
-25,859
-1.3%
Shares
2026-08-14
Mega
Legal & General Group Plc
2
$330,848,726
0.77%
1,950,759
0.710%
-123,432
-6.0%
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
675,335
$114,536,816
34.6%
Defined
Legal & General Investment Management Ltd
joint
1,275,424
$216,311,910
65.4%
Defined
Mega
Bank of New York Mellon Corp
Bank
8
$301,393,440
0.70%
1,777,084
0.647%
-68,963
-3.7%
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
BNY Mellon Trust of Delaware
joint
3,786
$642,105
0.2%
Defined
Mellon Investments Corporation
joint
759,691
$128,843,592
42.7%
Other
BNY Mellon Investment Adviser, Inc.
19,169
$3,251,062
1.1%
Defined
The Bank of New York Mellon
513,810
$87,142,176
28.9%
Defined
BNY Mellon, NA
joint
205,690
$34,885,023
11.6%
Defined
BNY Mellon Advisors, Inc.
joint
11,634
$1,973,126
0.7%
Other
Newton Investment Management North America, LLC
joint
263,303
$44,656,187
14.8%
Defined
Held directly
1
$169
0.0%
Defined
Mega
WELLINGTON MANAGEMENT GROUP LLP
7
$299,666,407
0.70%
1,766,901
0.643%
+1,083,645
+158.6%
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
Wellington Management Company LLP
1,502,813
$254,877,084
85.1%
Defined
Wellington Managment Canada LLC
714
$121,094
0.0%
Defined
Wellington Management Hong Kong Ltd
55,534
$9,418,566
3.1%
Defined
Wellington Management Singapore Pte. Ltd.
2,900
$491,840
0.2%
Defined
Wellington Management International Ltd
60,787
$10,309,475
3.4%
Defined
Wellington Trust Company, NA
joint
135,059
$22,906,006
7.6%
Defined
Wellington Management Australia Pty Ltd
9,094
$1,542,342
0.5%
Defined
Mega
BANK OF AMERICA CORP /DE/
Bank
7
$285,936,268
0.67%
1,685,945
0.614%
+93,210
+5.9%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BANK OF AMERICA NA
558,823
$94,776,380
33.1%
Defined
MERRILL LYNCH, PIERCE, FENNER & SMITH INC.
121,317
$20,575,363
7.2%
Defined
BOFA SECURITIES, INC.
83,621
$14,182,121
5.0%
Defined
MERRILL LYNCH INTERNATIONAL
35,853
$6,080,668
2.1%
Defined
U.S. TRUST Co OF DELAWARE
2,467
$418,403
0.1%
Defined
MANAGED ACCOUNT ADVISORS LLC
joint
865,448
$146,779,980
51.3%
Defined
BofA Securities Europe SA
18,416
$3,123,353
1.1%
Defined
Mega
AMERIPRISE FINANCIAL INC
4
$280,246,359
0.65%
1,652,396
0.602%
-94,447
-5.4%
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
Columbia Management Investment Advisers, LLC
1,545,941
$262,191,593
93.6%
Defined
Ameriprise Financial Services, LLC
joint
42,728
$7,246,668
2.6%
Defined
Ameriprise Bank, FSB
1,783
$302,396
0.1%
Defined
Columbia Threadneedle Management Ltd
61,944
$10,505,702
3.7%
Defined
Mega
PRICE T ROWE ASSOCIATES INC /MD/
2
$277,318,895
0.65%
1,635,135
0.595%
+97,267
+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
T. Rowe Price International Ltd
408,957
$69,359,107
25.0%
Defined
Held directly
1,226,178
$207,959,788
75.0%
Sole
Mega
NORGES BANK
Bank
$268,024,137
0.62%
1,580,331
0.575%
New
Shares
2026-08-12
Mega
VANGUARD FIDUCIARY TRUST CO
Bank
$261,552,201
0.61%
1,542,171
0.561%
-17,215
-1.1%
Shares
2026-08-13
Large
Newport Trust Company, LLC
Bank
$236,443,260
0.55%
1,394,123
0.508%
-36,018
-2.5%
Shares
2026-08-13
Mid
Metropolis Capital Ltd
$233,181,344
0.54%
1,374,890
0.501%
-877,753
-39.0%
Shares
2026-07-22
Large
FEDERATED HERMES, INC.
4
$221,382,779
0.52%
1,305,323
0.475%
-8,296
-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
FEDERATED EQUITY MANAGEMENT CO OF PENNSYLVANIA
26,977
$4,575,299
2.1%
Defined
FEDERATED GLOBAL INVESTMENT MANAGEMENT CORP
3,203
$543,228
0.2%
Defined
FEDERATED MDTA LLC
1,195,549
$202,765,110
91.6%
Defined
HERMES INVESTMENT MANAGEMENT LTD
79,594
$13,499,142
6.1%
Defined
Mega
Nuveen, LLC
3
$207,696,568
0.48%
1,224,626
0.446%
+135,844
+12.5%
Shares
2026-08-11
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
Nuveen Asset Management, LLC
joint
283,268
$48,042,252
23.1%
Defined
TIAA CREF INVESTMENT MANAGEMENT LLC
joint
490,509
$83,190,326
40.1%
Defined
TEACHERS ADVISORS, LLC
joint
450,849
$76,463,990
36.8%
Defined
Mega
UBS Group AG
3
$203,743,022
0.47%
1,201,315
0.437%
-510,088
-29.8%
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
UBS Financial Services Inc
313,241
$53,125,673
26.1%
Defined
UBS AG
874,331
$148,286,537
72.8%
Defined
UBS Switzerland AG
13,743
$2,330,812
1.1%
Defined
Mega
BNP PARIBAS ARBITRAGE, SA
$203,153,155
0.47%
1,197,837
0.436%
+337,959
+39.3%
Shares
2026-08-13
Mega
HSBC HOLDINGS PLC
7
$201,499,551
0.47%
1,188,087
0.433%
+261,926
+28.3%
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
HSBC Bank USA, N.A.
77,798
$13,194,540
6.5%
Defined
HSBC Global Asset Management (Hong Kong) Ltd
2,969
$503,542
0.2%
Defined
HSBC Global Asset Management (UK) Ltd
909,670
$154,280,032
76.6%
Defined
HSBC GLOBAL ASSET MANAGEMENT (FRANCE)
9,788
$1,660,044
0.8%
Defined
HSBC Trinkaus & Burkhardt AG, Germany
16,083
$2,727,676
1.4%
Defined
Hang Seng Investment Management Ltd
1,673
$283,740
0.1%
Defined
HSBC BANK PLC
170,106
$28,849,977
14.3%
Defined
Mega
Amundi
2
$199,455,195
0.46%
1,176,033
0.428%
+136,683
+13.2%
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
964,696
$163,612,440
82.0%
Defined
CPR Asset Management
211,337
$35,842,755
18.0%
Defined
Mega
DEUTSCHE BANK AG\
Bank
9
$192,656,439
0.45%
1,135,946
0.414%
-206,907
-15.4%
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
Deutsche Bank Trust Co Americas
1,000
$169,600
0.1%
Defined
DWS Investment GmbH
30,747
$5,214,691
2.7%
Defined
DWS INVESTMENT MANAGEMENT AMERICAS, INC
215,269
$36,509,622
19.0%
Defined
Deutsche Bank Trust Co Delaware
2,000
$339,200
0.2%
Other
DEUTSCHE BANK TRUST COMPANY, NATIONAL ASSOCIATION
2,673
$453,340
0.2%
Defined
DWS Investments UK Ltd
696,015
$118,044,144
61.3%
Defined
DBX Advisors LLC
37,849
$6,419,190
3.3%
Defined
DWS Investments Hong Kong Ltd
12,888
$2,185,804
1.1%
Defined
DWS International GmbH
137,505
$23,320,848
12.1%
Defined
Large
GQG Partners LLC
$187,585,401
0.44%
1,106,046
0.403%
New
Shares
2026-08-12
Large
Robeco Institutional Asset Management B.V.
$176,830,387
0.41%
1,042,632
0.380%
-92,764
-8.2%
Shares
2026-07-21
Large
PANAGORA ASSET MANAGEMENT INC
$173,745,702
0.40%
1,024,444
0.373%
+137,599
+15.5%
Shares
2026-08-06
Mega
BARCLAYS PLC
6
$165,078,293
0.38%
973,339
0.354%
-800,179
-45.1%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Manager
Shares
Value (USD)
% of position
Discretion
BARCLAYS BANK PLC
750,440
$127,274,624
77.1%
Defined
BARCLAYS CAPITAL INC.
5,651
$958,409
0.6%
Defined
BARCLAYS CAPITAL SECURITIES LTD
209,245
$35,487,952
21.5%
Defined
Barclays Bank (Suisse) SA
625
$106,000
0.1%
Defined
Barclays Capital Luxembourg SaRL
1,503
$254,908
0.2%
Defined
Barclays Investment Solutions Ltd
5,875
$996,400
0.6%
Defined
Mega
BANK OF MONTREAL /CAN/
Bank
9
$163,107,200
0.38%
961,717
0.350%
+4,813
+0.5%
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
BMO Asset Management Inc.
93,626
$15,878,969
9.7%
Defined
BMO Bank N.A.
309,911
$52,560,905
32.2%
Defined
BMO Delaware Trust Co
317
$53,763
0.0%
Defined
BMO Family Office, LLC
10,332
$1,752,307
1.1%
Defined
BMO NESBITT BURNS INC.
54,590
$9,258,464
5.7%
Defined
BMO PRIVATE INVESTMENT COUNSEL INC.
287,839
$48,817,494
29.9%
Defined
BMO NESBITT BURNS SECURITIES LTD.
35
$5,936
0.0%
Defined
Stoker Ostler Wealth Advisors, Inc.
56,191
$9,529,993
5.8%
Defined
Held directly
148,876
$25,249,369
15.5%
Defined
Large
Man Group plc
2
$162,048,050
0.38%
955,472
0.348%
+93,872
+10.9%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Large
VOYA INVESTMENT MANAGEMENT LLC
1
$160,784,360
0.37%
948,021
0.345%
-99,609
-9.5%
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
Voya Investment Management Co. LLC
joint
948,021
$160,784,360
100.0%
Defined
Mid
YACKTMAN ASSET MANAGEMENT LP
$155,987,904
0.36%
919,740
0.335%
+10,549
+1.2%
Shares
2026-08-11
Mega
Qube Research & Technologies Ltd
$154,401,465
0.36%
910,386
0.331%
+326,452
+55.9%
Shares
2026-08-14
Large
BNP PARIBAS ASSET MANAGEMENT Holding S.A.
4
$150,582,412
0.35%
887,868
0.323%
-90,705
-9.3%
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
BNP PARIBAS ASSET MANAGEMENT Europe
439,242
$74,495,443
49.5%
Defined
ALFRED BERG KAPITALFORVALTNING AS
22,300
$3,782,080
2.5%
Defined
AXA INVESTMENT MANAGERS UK LIMITED
416,865
$70,700,304
47.0%
Defined
AXA INVESTMENT MANAGERS US INC.
9,461
$1,604,585
1.1%
Defined
Mega
Capital International Investors
1
$150,520,678
0.35%
887,504
0.323%
+1,291
+0.1%
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
CAPITAL GROUP COMPANIES INC
joint
887,504
$150,520,678
100.0%
Defined
Mega
TWO SIGMA INVESTMENTS, LP
$145,592,441
0.34%
858,446
0.313%
+239,611
+38.7%
Shares
2026-08-14
Large
ACADIAN ASSET MANAGEMENT LLC
1
$138,074,921
0.32%
814,121
0.296%
+341,695
+72.3%
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
Acadian Inc
814,121
$138,074,921
100.0%
Defined
Large
Point72 Asset Management, L.P.
$137,507,779
0.32%
810,777
0.295%
+366,507
+82.5%
Shares
2026-08-14
Mid
FERGUSON WELLMAN CAPITAL MANAGEMENT, INC
$137,210,300
0.32%
809,023
0.295%
-201,223
-19.9%
Shares
2026-07-23
Mega
Allianz Asset Management GmbH
3
$134,159,535
0.31%
791,035
0.288%
+341,060
+75.8%
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
Pacific Investment Management Company LLC
283,707
$48,116,707
35.9%
Defined
Allianz Global Investors Asia Pacific Ltd
310
$52,576
0.0%
Defined
Allianz Global Investors GmbH
507,018
$85,990,252
64.1%
Defined
Mega
RAYMOND JAMES FINANCIAL INC
5
$133,404,305
0.31%
786,582
0.286%
+249,635
+46.5%
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
RAYMOND JAMES & ASSOCIATES
456,591
$77,437,833
58.0%
Defined
Raymond James Financial Services Advisors, Inc.
194,895
$33,054,192
24.8%
Defined
ClariVest Asset Management LLC
joint
26,988
$4,577,164
3.4%
Defined
EAGLE ASSET MANAGEMENT INC
101,396
$17,196,761
12.9%
Defined
RAYMOND JAMES TRUST N.A.
6,712
$1,138,355
0.9%
Defined
Large
Caisse de depot et placement du Quebec
$132,248,652
0.31%
779,768
0.284%
-238,067
-23.4%
Shares
2026-08-14
Large
JACOBS LEVY EQUITY MANAGEMENT, INC
$128,111,260
0.30%
755,373
0.275%
+288,477
+61.8%
Shares
2026-08-14
Large
Quantinno Capital Management LP
$114,715,065
0.27%
676,386
0.246%
+94,147
+16.2%
Shares
2026-08-13
Large
KBC Group NV
1
$114,708,111
0.27%
676,345
0.246%
+383,169
+130.7%
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
KBC Bank NV
joint
676,345
$114,708,111
100.0%
Defined
Mega
Mitsubishi UFJ Asset Management Co., Ltd.
1
$114,110,950
0.27%
672,824
0.245%
+34,156
+5.3%
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
MITSUBISHI UFJ FINANCIAL GROUP INC
672,824
$114,110,950
100.0%
Defined
Mega
JANE STREET GROUP, LLC
2
$106,080,899
0.25%
625,477
0.228%
+248,995
+66.1%
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
Jane Street Capital, LLC
105,652
$17,918,579
16.9%
Defined
Jane Street Global Trading, LLC
519,825
$88,162,320
83.1%
Defined
Mega
VANGUARD ASSET MANAGEMENT, Ltd
$104,051,804
0.24%
613,513
0.223%
+48,635
+8.6%
Shares
2026-08-13
Mega
California Public Employees Retirement System
Pension
$103,691,404
0.24%
611,388
0.223%
-4,948
-0.8%
Shares
2026-08-14
Mega
Sumitomo Mitsui Trust Group, Inc.
1
$103,519,600
0.24%
610,375
0.222%
-43,862
-6.7%
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
SUMITOMO MITSUI TRUST BANK Ltd
610,375
$103,519,600
100.0%
Defined
Mega
Vanguard Global Advisers, LLC
$101,676,556
0.24%
599,508
0.218%
-43,203
-6.7%
Shares
2026-08-13
Mega
RHUMBLINE ADVISERS
$90,765,849
0.21%
535,176
0.195%
-20,597
-3.7%
Shares
2026-08-12
Mid
LETKO, BROSSEAU & ASSOCIATES INC
$89,149,561
0.21%
525,646
0.191%
-18,810
-3.5%
Shares
2026-08-13
Large
HRT FINANCIAL LP
$88,341,926
0.21%
520,884
0.190%
+58,892
+12.7%
Shares
2026-08-14
Mega
National Pension Service
Pension
$88,181,654
0.21%
519,939
0.189%
-4,005
-0.8%
Shares
2026-08-13
Mega
Russell Investments Group, Ltd.
9
$85,713,458
0.20%
505,386
0.184%
+164,362
+48.2%
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
16,288
$2,762,444
3.2%
Defined
Russell Investment Management, LLC
128,626
$21,814,969
25.5%
Defined
Russell Investments Canada Limited
35,356
$5,996,377
7.0%
Defined
Russell Investments Capital, LLC
joint
16,606
$2,816,377
3.3%
Other
Russell Investments Implementation Services, LLC
38,248
$6,486,860
7.6%
Defined
Russell Investments Ireland Limited
joint
1,236
$209,625
0.2%
Other
Russell Investments Japan Co., LTD.
joint
114,160
$19,361,534
22.6%
Defined
Russell Investments Limited
joint
147,470
$25,010,911
29.2%
Other
Russell Investments Trust Company
joint
7,396
$1,254,361
1.5%
Defined
Mid
MILLER HOWARD INVESTMENTS INC /NY
$85,359,001
0.20%
503,296
0.183%
-92,314
-15.5%
Shares
2026-07-31
Large
SEI INVESTMENTS CO
2
$84,430,441
0.20%
497,821
0.181%
-350,658
-41.3%
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
SEI INVESTMENTS MANAGEMENT CORP
220,796
$37,447,001
44.4%
Defined
SEI TRUST CO
277,025
$46,983,440
55.6%
Sole
Mega
CITADEL ADVISORS LLC
2
$83,557,170
0.19%
492,672
0.179%
-325,840
-39.8%
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
86,228
$14,624,268
17.5%
Defined
Held directly
406,444
$68,932,902
82.5%
Defined
Mega
AMERICAN CENTURY COMPANIES INC
1
$83,124,012
0.19%
490,118
0.178%
+15,628
+3.3%
Shares
2026-08-12
This filing is a combination report: the position is filed across the managers below.
Mega
D. E. Shaw & Co., Inc.
2
$82,164,245
0.19%
484,459
0.176%
+187,841
+63.3%
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
D. E. SHAW & CO, L.P.
251,476
$42,650,329
51.9%
Defined
D. E. Shaw Investment Management, L.L.C.
joint
232,983
$39,513,916
48.1%
Defined
Mega
ROYAL BANK OF CANADA
Bank
9
$80,351,728
0.19%
473,772
0.172%
-205,152
-30.2%
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
RBC Global Asset Management Inc.
74,248
$12,592,460
15.7%
Defined
RBC CMA LTD.
1,220
$206,912
0.3%
Defined
RBC Capital Markets, LLC
127,324
$21,594,150
26.9%
Defined
RBC Dominion Securities Inc.
32,364
$5,488,934
6.8%
Defined
RBC Private Counsel (USA) Inc.
541
$91,753
0.1%
Defined
RBC Trust Co (Delaware) Ltd
1,819
$308,502
0.4%
Defined
CITY NATIONAL BANK
654
$110,918
0.1%
Defined
RBC Rochdale, LLC
3,085
$523,216
0.7%
Defined
Held directly
232,517
$39,434,883
49.1%
Sole
Mega
WELLS FARGO & COMPANY/MN
5
$78,845,173
0.18%
464,889
0.169%
-12,705
-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
WELLS FARGO BANK N A
13,851
$2,349,129
3.0%
Defined
WELLS FARGO ADVISORS FINANCIAL NETWORK, LLC
87,685
$14,871,376
18.9%
Defined
WELLS FARGO CLEARING SERVICES, LLC
342,580
$58,101,568
73.7%
Defined
Wells Fargo Securities, LLC
9
$1,526
0.0%
Defined
WELLS FARGO INVESTMENT INSTITUTE, INC.
20,764
$3,521,574
4.5%
Defined
Large
WORLDQUANT MILLENNIUM ADVISORS LLC
1
$78,611,126
0.18%
463,509
0.169%
+232,077
+100.3%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mega
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
Pension
$76,843,385
0.18%
453,086
0.165%
-18,518
-3.9%
Shares
2026-08-24
Large
GAMCO INVESTORS, INC. ET AL
$76,490,108
0.18%
451,003
0.164%
-8,670
-1.9%
Shares
2026-08-12
Mega
NATIONAL BANK OF CANADA /FI/
Bank
3
$76,372,744
0.18%
450,311
0.164%
+240,653
+114.8%
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
NBC Global Finance Ltd
393,159
$66,679,766
87.3%
Defined
Manager 7
6,119
$1,037,782
1.4%
Defined
Held directly
51,033
$8,655,196
11.3%
Defined
Mega
SCHRODER INVESTMENT MANAGEMENT GROUP
2
$75,741,324
0.18%
446,588
0.163%
+365,721
+452.2%
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
Schroder Investment Management Limited
435,102
$73,793,299
97.4%
Sole
Schroder Investment Management North America Limited
11,486
$1,948,025
2.6%
Sole
Large
PFA Pension, Forsikringsaktieselskab
Pension
$74,808,355
0.17%
441,087
0.161%
New
Shares
2026-08-12
Large
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND
Pension
$73,844,348
0.17%
435,403
0.159%
+342,869
+370.5%
Shares
2026-08-13
Mega
ENVESTNET ASSET MANAGEMENT INC
$72,386,806
0.17%
426,809
0.155%
+19,035
+4.7%
Shares
2026-08-03
Mega
SUSQUEHANNA INTERNATIONAL GROUP, LLP
1
$71,045,440
0.17%
418,900
0.152%
+76,200
+22.2%
Call
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Large
JONES FINANCIAL COMPANIES LLLP
2
$70,794,601
0.16%
417,421
0.152%
+11,988
+3.0%
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
Edward D. Jones & Co., L.P.
410,177
$69,566,019
98.3%
Sole
Edward Jones Trust Company
7,244
$1,228,582
1.7%
Sole
Large
Korea Investment CORP
$70,223,388
0.16%
414,053
0.151%
+51,392
+14.2%
Shares
2026-08-12
Mega
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP
$70,042,256
0.16%
412,985
0.150%
+19,258
+4.9%
Shares
2026-08-13
Mid
Azora Capital LP
$68,906,105
0.16%
406,286
0.148%
New
Shares
2026-08-14
Large
GABELLI FUNDS LLC
$66,746,419
0.16%
393,552
0.143%
-27,281
-6.5%
Shares
2026-08-12
Mega
CITIGROUP INC
2
$66,625,154
0.16%
392,837
0.143%
+89,772
+29.6%
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
1,323
$224,380
0.3%
Defined
Citigroup Financial Products Inc.
joint
391,514
$66,400,774
99.7%
Defined
Mega
CANADA PENSION PLAN INVESTMENT BOARD
Pension
$66,337,683
0.15%
391,142
0.142%
-24,473
-5.9%
Shares
2026-08-14
Mega
ALLIANCEBERNSTEIN L.P.
1
$65,862,464
0.15%
388,340
0.141%
-22,891
-5.6%
Shares
2026-08-14
This filing is a combination report: the position is filed across the managers below.
Mid
KAMES CAPITAL plc
$60,170,009
0.14%
354,776
0.129%
+18,773
+5.6%
Shares
2026-07-13
Mid
Prana Capital Management, LP
$58,253,699
0.14%
343,477
0.125%
-335,718
-49.4%
Shares
2026-08-14
Large
GREAT LAKES ADVISORS, LLC
$57,921,282
0.13%
341,517
0.124%
-39,978
-10.5%
Shares
2026-08-10
Large
DNB Asset Management AS
1
$57,723,020
0.13%
340,348
0.124%
-14,199
-4.0%
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
DNB FUND
340,348
$57,723,020
100.0%
Other
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