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PUBLIC SECTOR PENSION INVESTMENT BOARD
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Back to PUBLIC SECTOR PENSION INVESTMENT BOARD
PS
Public Sector Pension Investment Board
Quarter-over-quarter position changes
1,369 changes
All actions
All impact
Action
Company
Quarter
↓
Δ shares
Δ %
Held after
Flow
Impact
New
G0593M107
Mar 31, 2026
+2,087,084
New
2,087,084
$415.07M
high
Added
780087102
Mar 31, 2026
+1,644,536
+219%
2,396,327
$265.90M
high
Added
MICROSOFT CORP
Mar 31, 2026
+696,671
+20%
4,196,827
$257.89M
high
Added
Apple Inc.
Mar 31, 2026
+776,617
+20%
4,617,098
$197.10M
high
Trimmed
LINDE PLC
Mar 31, 2026
-390,061
-72%
150,227
$193.38M
high
Added
Eaton Corp plc
Mar 31, 2026
+474,440
+942%
524,798
$169.69M
high
Added
Constellation Energy Corp
Mar 31, 2026
+588,457
+740%
667,988
$164.33M
high
Added
T-Mobile US, Inc.
TMUS
Mar 31, 2026
+748,402
+718%
852,658
$157.19M
high
Trimmed
KLA CORP
Mar 31, 2026
-100,042
-58%
73,758
$147.30M
high
Added
Amazon.com Inc
Mar 31, 2026
+682,675
+20%
4,069,336
$142.18M
high
Added
Broadcom Inc.
Mar 31, 2026
+455,774
+26%
2,208,180
$141.07M
high
Added
W.W. GRAINGER, INC.
Mar 31, 2026
+114,396
>1000%
119,880
$124.78M
high
Trimmed
Sandisk Corp
Mar 31, 2026
-193,516
-70%
81,955
$122.95M
high
Trimmed
Booking Holdings Inc
Mar 31, 2026
-29,159
-66%
15,190
$122.77M
high
Added
Hilton Worldwide Holdings Inc.
Mar 31, 2026
+346,680
>1000%
376,480
$105.42M
high
Added
ELI LILLY & Co
Mar 31, 2026
+111,608
+37%
416,347
$102.65M
high
Added
TEXAS INSTRUMENTS INC
Mar 31, 2026
+527,948
+393%
662,294
$102.50M
high
Exited
Aramark
Mar 31, 2026
-2,686,000
-100%
0
$99.01M
high
Added
063671101
Mar 31, 2026
+724,084
+185%
1,115,513
$98.09M
high
Added
064149107
Mar 31, 2026
+1,377,474
+212%
2,025,894
$95.56M
high
Trimmed
PEPSICO INC
Mar 31, 2026
-610,378
-74%
219,808
$94.79M
high
Trimmed
BANK OF AMERICA CORP /DE
Mar 31, 2026
-1,907,499
-40%
2,887,429
$92.99M
high
Added
Warren E. Buffett
Mar 31, 2026
+192,601
+39%
692,591
$92.29M
high
Trimmed
Alphabet Inc.
Mar 31, 2026
-306,275
-9.1%
3,066,104
$88.07M
high
Added
CANADIAN IMPERIAL BANK OF COMMERCE /CAN
Mar 31, 2026
+859,759
+16%
6,242,590
$81.50M
high
Added
BRISTOL MYERS SQUIBB CO
Mar 31, 2026
+1,235,583
+330%
1,609,745
$74.94M
high
Exited
M2682V108
Mar 31, 2026
-159,274
-100%
0
$71.05M
high
Added
Restaurant Brands International Inc.
QSR
Mar 31, 2026
+956,374
>1000%
1,006,381
$70.78M
high
Added
MICRON TECHNOLOGY INC
Mar 31, 2026
+189,704
+77%
434,759
$64.09M
high
Added
Netflix Inc
Mar 31, 2026
+638,294
+38%
2,313,927
$61.37M
high
Added
891160509
Mar 31, 2026
+653,251
+29%
2,931,884
$61.02M
high
New
WEBSTER FINANCIAL CORP
Mar 31, 2026
+803,712
New
803,712
$55.79M
high
Added
87807B107
Mar 31, 2026
+855,369
+953%
945,141
$53.48M
high
Added
JOHNSON & JOHNSON
Mar 31, 2026
+217,217
+69%
532,305
$53.10M
high
Trimmed
Parker-Hannifin Corp
Mar 31, 2026
-56,506
-25%
168,125
$50.59M
high
Added
NVIDIA Corp
Mar 31, 2026
+278,513
+3.1%
9,244,796
$48.57M
medium
Added
Morgan Stanley
Mar 31, 2026
+279,597
+91%
587,180
$46.01M
medium
Trimmed
ANALOG DEVICES INC
Mar 31, 2026
-141,704
-18%
624,976
$45.08M
medium
Added
Alphabet Inc.
Mar 31, 2026
+154,206
+21%
878,134
$44.24M
medium
Added
BOSTON SCIENTIFIC CORP
Mar 31, 2026
+661,315
+47%
2,077,623
$41.50M
medium
Trimmed
MCKESSON CORP
Mar 31, 2026
-47,882
-21%
175,821
$41.44M
medium
Trimmed
Warner Bros. Discovery, Inc.
Mar 31, 2026
-1,443,271
-58%
1,056,767
$39.63M
medium
Trimmed
HCA Healthcare, Inc.
Mar 31, 2026
-82,629
-26%
238,788
$39.10M
medium
Trimmed
Kenvue Inc.
Mar 31, 2026
-2,138,909
-87%
308,458
$36.87M
medium
Trimmed
Intuitive Surgical Inc
Mar 31, 2026
-79,269
-58%
57,573
$36.54M
medium
Trimmed
CME Group Inc
Mar 31, 2026
-122,667
-54%
102,581
$36.23M
medium
Added
Johnson Controls International plc
Mar 31, 2026
+274,573
+371%
348,635
$35.96M
medium
Trimmed
INTEL CORP
Mar 31, 2026
-788,771
-30%
1,872,760
$34.81M
medium
Trimmed
ADVANCED ENERGY INDUSTRIES INC
Mar 31, 2026
-104,591
-80%
26,000
$33.75M
medium
Trimmed
VICI PROPERTIES INC.
Mar 31, 2026
-1,208,285
-80%
304,209
$33.01M
medium
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