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CIBC Global Asset Managment Inc.
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Back to CIBC Global Asset Managment Inc.
CG
CIBC Global Asset Managment Inc.
All holdings · as of Mar 31, 2026
1,371 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
Organon & Co.
—
$147.5K
24,628
0.0%
CNH Industrial N.V.
—
$149.9K
13,630
0.0%
SentinelOne, Inc.
—
$150.1K
11,656
0.0%
O-I Glass, Inc. /DE
—
$150.3K
14,304
0.0%
CLEANSPARK, INC.
—
$152.4K
17,914
0.0%
Douglas Emmett Inc
—
$153.1K
16,252
0.0%
SUNRUN INC.
—
$153.5K
11,317
0.0%
Brookdale Senior Living Inc.
—
$160.9K
11,761
0.0%
Lyft, Inc.
—
$161.9K
12,176
0.0%
MATTEL INC /DE
—
$163.2K
11,230
0.0%
CLEVELAND-CLIFFS INC.
—
$164.1K
19,419
0.0%
Callaway Golf Co
—
$164.9K
11,882
0.0%
Avantor, Inc.
—
$166.0K
21,174
0.0%
Northwest Bancshares, Inc.
—
$167.5K
13,201
0.0%
Riot Platforms, Inc.
—
$168.0K
13,596
0.0%
FLAGSTAR BANK, NATIONAL ASSOCIATION
—
$168.6K
12,804
0.0%
Sunstone Hotel Investors, Inc.
—
$168.8K
18,735
0.0%
TAL Education Group
TAL
ADR
$171.3K
15,070
0.0%
Plug Power Inc
—
$174.6K
77,263
0.0%
Hayward Holdings, Inc.
—
$177.1K
13,233
0.0%
Amneal Pharmaceuticals, Inc.
—
$177.2K
14,255
0.0%
Select Medical Holdings Corp
—
$178.7K
10,968
0.0%
CUSHMAN AND WAKEFIELD LTD
—
$179.5K
14,642
0.0%
Kanzhun Ltd
—
$180.8K
13,502
0.0%
FIRST COMMONWEALTH FINANCIAL CORP /PA
—
$182.9K
10,403
0.0%
MARA Holdings, Inc.
—
$183.0K
22,428
0.0%
Core Scientific, Inc./tx
—
$186.2K
12,448
0.0%
VALLEY NATIONAL BANCORP
—
$187.0K
15,224
0.0%
Global Net Lease, Inc.
—
$187.9K
20,070
0.0%
FNB CORP/PA
—
$191.0K
11,423
0.0%
PENN Entertainment, Inc.
—
$192.6K
12,816
0.0%
NEOGEN CORP
—
$194.1K
20,894
0.0%
WillScot Holdings Corp
—
$196.3K
11,306
0.0%
AMERICAN EAGLE OUTFITTERS INC
—
$198.2K
11,866
0.0%
UiPath, Inc.
—
$199.0K
17,924
0.0%
MGIC INVESTMENT CORP
—
$200.3K
7,629
0.0%
LITHIA MOTORS INC
—
$200.3K
802
0.0%
MURPHY OIL CORP
—
$200.4K
4,857
0.0%
Cipher Digital Inc.
—
$200.6K
15,589
0.0%
TANGER INC.
—
$200.7K
5,905
0.0%
INSIGHT ENTERPRISES INC
—
$201.0K
2,999
0.0%
MSA Safety Inc
—
$201.0K
1,226
0.0%
Cogent Biosciences, Inc.
—
$201.1K
5,225
0.0%
H2O AMERICA
—
$201.3K
3,431
0.0%
Elastic N.V.
—
$201.6K
4,033
0.0%
BIO-RAD LABORATORIES, INC.
—
$202.1K
725
0.0%
FMC CORP
—
$202.7K
11,773
0.0%
WYNDHAM HOTELS & RESORTS, INC.
—
$203.0K
2,499
0.0%
BOYD GAMING CORP
—
$203.1K
2,471
0.0%
Healthcare Realty Trust Inc
—
$203.3K
11,966
0.0%
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