Back to BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

All holdings · as of Mar 31, 2026

689 positions

CompanyClassValueShares% of portfolio
ALLSTATE CORP$7.48M36,0670.0%
Airbnb, Inc.$7.49M59,3140.0%
AFLAC INC$7.53M68,6230.0%
CIENA CORP$7.54M19,4130.0%
TARGET CORP$7.56M62,4030.0%
AUTOZONE INC$7.71M2,2840.0%
REALTY INCOME CORP$7.76M126,7830.0%
Corteva, Inc.$7.80M93,1300.0%
ONEOK Inc$7.84M86,7300.0%
KKR & Co. Inc.$7.95M85,9940.0%
Cencora Inc$7.98M25,3990.0%
DoorDash, Inc.$7.99M53,2040.0%
TRUIST FINANCIAL CORP$8.10M176,3080.0%
Sea Ltd$8.30M100,2230.0%
Baker Hughes Co$8.30M136,0000.0%
PACCAR INC$8.36M72,3820.0%
CINTAS CORP$8.39M49,6020.0%
Simon Property Group Inc$8.39M44,9960.0%
Cheniere Energy, Inc.$8.42M29,6650.0%
Planet Fitness, Inc.$8.43M113,2900.0%
STANTEC INC$8.43M97,5200.0%
TE Connectivity PLC$8.48M40,5480.1%
FIRST MAJESTIC SILVER CORP$8.49M396,1340.1%
Digital Realty Trust Inc$8.53M47,3470.1%
NIKE, Inc.$8.67M164,2290.1%
GILDAN ACTIVEWEAR INC$8.74M156,8860.1%
CREDICORP LTD.$8.83M26,0400.1%
NORFOLK SOUTHERN CORP$8.88M30,9250.1%
L3HARRIS TECHNOLOGIES, INC. /DE$8.90M25,7800.1%
Warner Bros. Discovery, Inc.$8.91M324,5110.1%
Air Products & Chemicals, Inc.$8.91M30,6770.1%
Chipotle Mexican Grill Inc$8.95M279,4640.1%
Elevance Health Inc$8.97M30,6320.1%
TRAVELERS COMPANIES, INC.$8.97M30,7450.1%
Cloudflare, Inc.$8.99M43,5480.1%
COLGATE PALMOLIVE CO$8.99M105,5330.1%
TransDigm Group Inc.$9.00M7,7620.1%
Aon plc$9.08M28,1410.1%
WEST FRASER TIMBER LTD$9.17M140,3910.1%
KINDER MORGAN, INC.$9.25M275,9460.1%
ECOLAB INC.$9.35M35,1320.1%
STERIS plc$9.40M42,5270.1%
IAMGOLD CORP$9.42M500,7290.1%
GFL ENVIRONMENTAL INC$9.51M228,0220.1%
General Motors Co$9.58M128,5680.1%
Moody's Corp$9.65M22,1290.1%
ROSS STORES, INC.$9.66M44,5810.1%
EQUINOX GOLD CORP$9.71M672,1910.1%
CRH PUBLIC LTD CO$9.71M92,3780.1%
Hilton Worldwide Holdings Inc.$9.74M32,0380.1%
← PrevPage 9 of 14Next →