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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
▲
▼
COMMUNITY FINANCIAL SYSTEM, INC.
—
$203.6K
3,472
0.0%
OCEANEERING INTERNATIONAL INC
—
$203.8K
5,747
0.0%
Acadia Healthcare Company, Inc.
—
$203.9K
8,717
0.0%
NBT BANCORP INC
—
$204.1K
4,794
0.0%
OneMain Holdings Inc
—
$204.2K
3,818
0.0%
JBT MAREL Corp
—
$204.8K
1,602
0.0%
REPLIGEN CORP
—
$204.9K
1,739
0.0%
Avista Corp
—
$205.3K
5,115
0.0%
First BanCorp/Puerto Rico
—
$205.4K
9,615
0.0%
RXO, Inc.
—
$205.5K
14,054
0.0%
Voya Financial, Inc.
—
$205.5K
3,008
0.0%
V. F. CORPORATION
—
$206.2K
12,138
0.0%
Churchill Downs Inc
—
$206.9K
2,303
0.0%
Hub Group, Inc.
—
$207.1K
5,746
0.0%
AAON, INC.
—
$207.4K
2,506
0.0%
TALOS ENERGY INC.
—
$207.5K
13,166
0.0%
Sphere Entertainment Co.
—
$207.7K
1,769
0.0%
GEO GROUP INC
—
$208.2K
12,387
0.0%
DXC Technology Company
—
$208.3K
16,572
0.0%
FIRST TRUST ENHANCED EQUITY INCOME FUND
FFA
Closed-End Fund
$209.3K
10,260
0.0%
STAG Industrial, Inc.
—
$209.5K
5,810
0.0%
Victory Capital Holdings, Inc.
—
$209.6K
3,201
0.0%
Clearwater Analytics Holdings, Inc.
—
$209.8K
8,872
0.0%
Cytokinetics Inc
—
$210.1K
3,187
0.0%
EAGLE MATERIALS INC
—
$210.1K
1,109
0.0%
Silicon Laboratories Inc
—
$210.2K
1,010
0.0%
SKYWEST INC
—
$210.9K
2,297
0.0%
ARCBEST CORP /DE
—
$211.0K
2,145
0.0%
WAFD INC
—
$211.0K
6,720
0.0%
BGC Group Inc
—
$211.2K
21,595
0.0%
Vishay Intertechnology Inc
—
$211.9K
11,772
0.0%
KADANT INC
—
$212.0K
725
0.0%
MINERALS TECHNOLOGIES INC
—
$212.1K
2,991
0.0%
Weatherford International PLC
—
$212.1K
2,243
0.0%
Celcuity Inc.
CELC
Common Stock
$212.4K
1,861
0.0%
RadNet, Inc.
—
$213.1K
3,813
0.0%
HNI CORP
—
$213.2K
6,386
0.0%
FEDERAL SIGNAL CORP /DE
—
$213.8K
1,977
0.0%
LEAR CORP
—
$214.8K
1,774
0.0%
SELECTIVE INSURANCE GROUP INC
—
$215.2K
2,855
0.0%
HEXCEL CORP /DE
—
$215.5K
2,663
0.0%
Compass, Inc.
—
$215.7K
29,502
0.0%
OUTFRONT Media Inc.
OUT
REIT
$215.7K
8,139
0.0%
Genpact Ltd
—
$216.3K
5,807
0.0%
DNOW Inc.
—
$217.0K
18,216
0.0%
DILLARD'S, INC.
DDS
Common Stock
$217.4K
380
0.0%
Mirum Pharmaceuticals, Inc.
—
$218.8K
2,369
0.0%
TIMKEN CO
—
$218.9K
2,177
0.0%
IDACORP Inc
—
$219.6K
1,536
0.0%
Rexford Industrial Realty, Inc.
—
$220.0K
6,722
0.0%
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