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BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

All holdings · as of Mar 31, 2026

689 positions

CompanyClassValueShares% of portfolio
AMERIPRISE FINANCIAL INC$5.69M12,8050.0%
FIFTH THIRD BANCORP$5.76M123,9220.0%
CARVANA CO.$5.83M18,5590.0%
CARRIER GLOBAL Corp$5.88M104,4830.0%
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP$5.89M23,5620.0%
Public Storage$5.90M21,7630.0%
ELDORADO GOLD CORP NEW$5.90M171,7810.0%
SOUTH BOW CORP$5.92M178,0420.0%
Yum! Brands Inc$5.95M38,2640.0%
KROGER CO$6.00M82,8790.0%
SOUTHERN COPPER CORPSCCOCommon Stock$6.00M34,8630.0%
Alnylam Pharmaceuticals Inc$6.02M18,2080.0%
OR ROYALTIES INC.$6.10M160,2900.0%
Becton Dickinson & Co$6.18M39,2800.0%
IDEXX LABORATORIES INC /DE$6.18M11,0060.0%
FORD MOTOR CO$6.22M539,3620.0%
Burlington Stores, Inc.$6.33M19,4550.0%
United Rentals Inc$6.39M8,7710.0%
TERADYNE, INC$6.40M21,5850.0%
Edwards Lifesciences Corp$6.40M79,9780.0%
XCEL ENERGY INC$6.48M81,5220.0%
REPUBLIC SERVICES, INC.$6.54M29,8650.0%
NEXGEN ENERGY LTD$6.55M564,8160.0%
OCCIDENTAL PETROLEUM CORP /DE$6.62M101,8490.0%
ELECTRONIC ARTS INC.$6.68M32,7470.0%
Apollo Global Management, Inc.$6.68M59,9930.0%
Keysight Technologies, Inc.$6.69M23,6790.0%
Comfort Systems USA Inc$6.70M4,8610.0%
W.W. GRAINGER, INC.$6.79M6,2260.0%
AMETEK Inc$6.80M31,7310.0%
ISHARES TR$6.81M120,0000.0%
Exelon Corp$6.83M139,2410.0%
NXP Semiconductors N.V.$6.83M34,6850.0%
LUMENTUM HLDGS INC$6.87M9,7710.0%
SELECT SECTOR SPDR TR$6.91M63,4220.0%
ENTERGY CORP /DE$6.92M61,5570.0%
CARDINAL HEALTH INC$6.92M32,7480.0%
Autodesk, Inc.$7.00M29,2190.0%
Vistra Corp.$7.02M46,6950.0%
Hudbay Minerals Inc.$7.11M339,2740.0%
Fortinet Inc$7.12M87,1170.0%
Robinhood Markets, Inc.$7.16M103,3260.0%
Dell Technologies Inc.$7.18M43,7210.0%
Zoetis Inc.$7.18M60,7380.0%
TRANSFORCE INC$7.19M66,0210.0%
Monolithic Power Systems Inc$7.22M6,6020.0%
DOMINION ENERGY, INC$7.28M117,6960.0%
Monster Beverage Corp$7.32M100,9990.0%
Fastenal Co$7.34M158,2360.0%
Targa Resources Corp$7.42M29,5860.0%
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