BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

data from 31/03/2026

Capitalization

$ 16.952 B

-10.57%

Performance

$ 27.587 B

-24,347.26%

Average holding period

37 years

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2026/03/31 HYG ISHARES TR 7.00% 1.187 B $ 14920618 2022/06/30 -13.080 M $ -1.33 %
2026/03/31 USHY ISHARES TR 4.92% 833.689 M $ 22630000 2024/12/31 -9.498 M $ -1.50 %
2026/03/31 NVDA NVIDIA CORPORATION 4.23% 716.443 M $ 4108045 2010/06/30 -65.309 M $ -6.49 %
2026/03/31 AAPL APPLE INC 3.57% 606.022 M $ 2387886 2010/06/30 -55.921 M $ -6.65 %
2026/03/31 BG BUNGE GLOBAL SA 3.44% 583.462 M $ 4586963 2023/12/31 945.757 K $ 42.79 %
2026/03/31 TD TORONTO DOMINION BK ONT 2.77% 470.015 M $ 5031656 2013/03/31 -2.518 M $ -0.94 %
2026/03/31 MSFT MICROSOFT CORP 2.74% 465.118 M $ 1256499 2010/06/30 -194.836 M $ -23.46 %
2026/03/31 RY ROYAL BK CDA 2.30% 389.731 M $ 2410402 2018/12/31 -20.722 M $ -5.11 %
2026/03/31 CNQ CANADIAN NAT RES LTD MED TER 2.25% 380.841 M $ 7805579 2018/12/31 24.537 M $ 43.93 %
2026/03/31 AMZN AMAZON COM INC 2.14% 362.254 M $ 1739347 2010/06/30 -55.288 M $ -9.77 %
2026/03/31 GOOGL ALPHABET INC 1.93% 326.430 M $ 1135172 2015/12/31 -36.931 M $ -8.13 %
2026/03/31 AVGO BROADCOM INC 1.35% 229.381 M $ 741110 2018/06/30 -35.051 M $ -10.57 %
2026/03/31 META META PLATFORMS INC 1.27% 215.461 M $ 376594 2012/06/30 -44.478 M $ -13.33 %
2026/03/31 SHOP SHOPIFY INC 1.22% 207.607 M $ 1749349 2018/12/31 -95.617 M $ -26.30 %
2026/03/31 GOOG ALPHABET INC 1.13% 192.393 M $ 670685 2015/12/31 -23.368 M $ -8.59 %
2026/03/31 TRP TC ENERGY CORP 1.07% 180.924 M $ 2888715 2019/06/30 20.977 M $ 13.78 %
2026/03/31 AEM AGNICO EAGLE MINES LTD 0.98% 165.612 M $ 815737 2013/03/31 25.283 M $ 19.72 %
2026/03/31 ENB ENBRIDGE INC 0.95% 161.781 M $ 2983836 2013/03/31 16.215 M $ 13.19 %
2026/03/31 TSLA TESLA INC 0.93% 157.294 M $ 423119 2013/03/31 -41.717 M $ -17.34 %
2026/03/31 CM CANADIAN IMPERIAL BANK OF CO 0.90% 152.032 M $ 1603844 2014/06/30 3.394 M $ 4.57 %
2026/03/31 SU SUNCOR ENERGY INC NEW 0.78% 132.142 M $ 1997472 2013/03/31 38.835 M $ 49.00 %
2026/03/31 BMO BANK MONTREAL MEDIUM 0.71% 120.250 M $ 887637 2014/06/30 5.194 M $ 4.27 %
2026/03/31 JNK SPDR SERIES TRUST 0.69% 116.874 M $ 1221000 2025/06/30 -1.819 M $ -1.53 %
2026/03/31 LLY ELI LILLY & CO 0.68% 114.955 M $ 124982 2010/06/30 -23.315 M $ -14.41 %
2026/03/31 WMT WALMART INC 0.66% 111.814 M $ 899691 2010/06/30 12.944 M $ 11.55 %
2026/03/31 JPM JPMORGAN CHASE & CO 0.65% 110.365 M $ 375188 2010/06/30 -13.692 M $ -8.71 %
2026/03/31 BN BROOKFIELD CORP 0.63% 106.145 M $ 2618947 2022/12/31 -19.327 M $ -11.80 %
2026/03/31 WCN WASTE CONNECTIONS INC 0.62% 105.472 M $ 649044 2016/06/30 -13.725 M $ -7.37 %
2026/03/31 RYN RAYONIER INC 0.62% 104.433 M $ 5064660 2023/06/30 -5.217 M $ -4.76 %
2026/03/31 XOM EXXON MOBIL CORP 0.61% 103.574 M $ 610482 2010/06/30 37.305 M $ 40.98 %
2026/03/31 WPM WHEATON PRECIOUS METALS CORP 0.58% 98.948 M $ 753674 2018/06/30 4.901 M $ 11.47 %
2026/03/31 BRK-B BERKSHIRE HATHAWAY INC DEL 0.56% 94.986 M $ 198217 2010/06/30 -5.736 M $ -4.67 %
2026/03/31 FNV FRANCO NEV CORP 0.56% 94.660 M $ 382221 2014/06/30 24.372 M $ 19.19 %
2026/03/31 CP CANADIAN PACIFIC KANSAS CITY 0.53% 89.551 M $ 1137762 2023/06/30 8.298 M $ 6.83 %
2026/03/31 V VISA INC 0.51% 86.289 M $ 285499 2010/06/30 -18.574 M $ -13.82 %
2026/03/31 MFC MANULIFE FINL CORP 0.50% 85.471 M $ 2480713 2018/12/31 -2.360 M $ -5.07 %
2026/03/31 B BARRICK MNG CORP 0.50% 84.222 M $ 2060490 2025/06/30 -6.743 M $ -6.34 %
2026/03/31 SPY STATE STR SPDR S&P 500 ETF T 0.49% 82.485 M $ 126834 2025/06/30 -2.113 M $ -4.63 %
2026/03/31 BNS BANK NOVA SCOTIA B C 0.48% 82.136 M $ 1184182 2013/03/31 -2.838 M $ -5.94 %
2026/03/31 AQN ALGONQUIN POWER & UTILITIES 0.48% 81.542 M $ 13311265 2023/09/30 -130.845 K $ -0.16 %
2026/03/31 JNJ JOHNSON & JOHNSON 0.48% 81.168 M $ 332056 2010/06/30 16.019 M $ 18.12 %
2026/03/31 CLS CELESTICA INC 0.45% 76.945 M $ 272712 2024/06/30 -4.699 M $ -4.71 %
2026/03/31 XLE SELECT SECTOR SPDR TR 0.44% 74.915 M $ 1222898 2024/09/30 15.515 M $ 37.02 %
2026/03/31 CCJ CAMECO CORP 0.42% 71.743 M $ 659593 2018/12/31 5.242 M $ 18.70 %
2026/03/31 COST COSTCO WHOLESALE CORPORATION 0.40% 67.625 M $ 67867 2010/06/30 10.543 M $ 15.55 %
2026/03/31 CVX CHEVRON CORPORATION 0.39% 66.763 M $ 322681 2010/06/30 18.640 M $ 35.75 %
2026/03/31 CNI CANADIAN NATL RY CO 0.39% 66.574 M $ 646694 2013/03/31 3.217 M $ 3.96 %
2026/03/31 XLI SELECT SECTOR SPDR TR 0.39% 65.639 M $ 405858 2025/09/30 3.141 M $ 4.26 %
2026/03/31 CVE CENOVUS ENERGY INC 0.37% 63.112 M $ 2377545 2013/03/31 37.255 M $ 56.80 %
2026/03/31 BAC BANK AMERICA CORP 0.36% 60.784 M $ 1246854 2010/06/30 -12.213 M $ -11.36 %
2026/03/31 NFLX NETFLIX INC. 0.35% 59.274 M $ 616478 2010/06/30 1.879 M $ 2.55 %
2026/03/31 T AT&T INC 0.35% 58.643 M $ 2022873 2010/06/30 8.865 M $ 16.71 %
2026/03/31 MA MASTERCARD INCORPORATED 0.34% 58.307 M $ 116693 2010/06/30 -10.771 M $ -12.48 %
2026/03/31 PPH VANECK ETF TRUST 0.33% 56.636 M $ 545207 2025/12/31 488.913 K $ 0.69 %
2026/03/31 EWJ ISHARES INC 0.33% 55.712 M $ 659786 2023/06/30 3.112 M $ 4.58 %
2026/03/31 AMD ADVANCED MICRO DEVICES INC 0.33% 55.607 M $ 273349 2017/03/31 -3.090 M $ -5.01 %
2026/03/31 ABBV ABBVIE INC 0.31% 52.978 M $ 243587 2013/03/31 -3.448 M $ -4.81 %
2026/03/31 MU MICRON TECHNOLOGY INC 0.31% 52.406 M $ 155121 2010/06/30 10.443 M $ 18.37 %
2026/03/31 PG PROCTER & GAMBLE CO 0.31% 52.381 M $ 362648 2010/06/30 469.316 K $ 0.79 %
2026/03/31 EFA ISHARES TR 0.29% 49.508 M $ 509707 2025/06/30 166.015 K $ 1.15 %
2026/03/31 NTR NUTRIEN LTD 0.29% 48.341 M $ 640266 2018/03/31 11.712 M $ 22.26 %
2026/03/31 KO COCA COLA CO 0.28% 48.231 M $ 634206 2010/06/30 4.455 M $ 8.78 %
2026/03/31 BIP BROOKFIELD INFRASTRUCTURE PA 0.28% 47.991 M $ 1330173 2018/12/31 3.288 M $ 3.97 %
2026/03/31 TJX TJX COS INC NEW 0.28% 47.535 M $ 297652 2010/06/30 1.950 M $ 3.96 %
2026/03/31 XLB SELECT SECTOR SPDR TR 0.28% 46.675 M $ 934061 2025/06/30 3.259 M $ 10.19 %
2026/03/31 RBA RB GLOBAL INC 0.27% 46.422 M $ 483961 2024/12/31 -4.843 M $ -6.82 %
2026/03/31 PLTR PALANTIR TECHNOLOGIES INC 0.27% 46.054 M $ 314832 2021/06/30 -12.706 M $ -17.70 %
2026/03/31 CAT CATERPILLAR INC 0.27% 45.694 M $ 64498 2010/06/30 11.272 M $ 23.67 %
2026/03/31 DIS DISNEY WALT CO 0.27% 45.204 M $ 469018 2010/06/30 -8.375 M $ -15.29 %
2026/03/31 HD HOME DEPOT INC 0.27% 45.125 M $ 137203 2010/06/30 -2.687 M $ -4.42 %
2026/03/31 SLF SUN LIFE FINANCIAL INC. 0.26% 44.622 M $ 712130 2017/06/30 73.318 K $ 0.26 %
2026/03/31 TECK TECK RESOURCES LTD 0.26% 44.313 M $ 854805 2013/03/31 3.991 M $ 8.06 %
2026/03/31 ORCL ORACLE CORP 0.25% 43.092 M $ 292922 2010/06/30 -15.250 M $ -24.52 %
2026/03/31 IMO IMPERIAL OIL LTD 0.25% 42.493 M $ 324356 2024/03/31 6.444 M $ 51.52 %
2026/03/31 CSCO CISCO SYS INC 0.25% 42.252 M $ 544549 2010/06/30 392.843 K $ 0.73 %
2026/03/31 GE GE AEROSPACE 0.24% 41.253 M $ 145375 2021/09/30 -4.565 M $ -7.88 %
2026/03/31 MRK MERCK & CO INC 0.24% 41.149 M $ 342084 2010/06/30 6.662 M $ 14.28 %
2026/03/31 BAM BROOKFIELD ASSET MANAGMT LTD 0.24% 41.077 M $ 923700 2022/12/31 -14.790 M $ -15.16 %
2026/03/31 CVS CVS HEALTH CORP 0.24% 40.866 M $ 569001 2010/06/30 -4.796 M $ -9.50 %
2026/03/31 PM PHILIP MORRIS INTL INC 0.24% 39.914 M $ 241403 2010/06/30 1.365 M $ 3.08 %
2026/03/31 UBER UBER TECHNOLOGIES INC 0.23% 38.257 M $ 531862 2019/06/30 -4.981 M $ -11.97 %
2026/03/31 AMAT APPLIED MATLS INC 0.22% 37.352 M $ 109284 2010/06/30 11.988 M $ 33.00 %
2026/03/31 LRCX LAM RESEARCH CORP 0.22% 36.987 M $ 173110 2024/12/31 9.506 M $ 24.82 %
2026/03/31 WMT WALMART INC 0.21% 36.240 M $ 291600 2025/12/31 3.753 M $ 11.55 %
2026/03/31 RTX RTX CORPORATION 0.21% 35.646 M $ 184789 2020/06/30 2.256 M $ 5.18 %
2026/03/31 GS GOLDMAN SACHS GROUP INC 0.21% 34.971 M $ 41337 2010/06/30 -1.773 M $ -3.76 %
2026/03/31 WFC WELLS FARGO & CO 0.20% 34.442 M $ 432631 2010/06/30 -7.725 M $ -14.58 %
2026/03/31 EMR EMERSON ELEC CO 0.20% 34.414 M $ 262665 2010/06/30 -380.633 K $ -1.28 %
2026/03/31 UNH UNITEDHEALTH GROUP INC 0.20% 33.783 M $ 124848 2010/06/30 -9.565 M $ -18.03 %
2026/03/31 YUMC YUM CHINA HLDGS INC 0.20% 33.237 M $ 676050 2016/12/31 651.299 K $ 2.20 %
2026/03/31 CRM SALESFORCE INC 0.20% 33.155 M $ 177613 2010/06/30 -17.010 M $ -29.53 %
2026/03/31 PEP PEPSICO INC 0.19% 32.961 M $ 212252 2010/06/30 2.856 M $ 8.20 %
2026/03/31 GEV GE VERNOVA INC 0.19% 32.643 M $ 37396 2024/06/30 10.595 M $ 33.56 %
2026/03/31 AMT AMERICAN TOWER CORP 0.19% 32.551 M $ 188612 2012/03/31 -519.611 K $ -1.70 %
2026/03/31 XLU SELECT SECTOR SPDR TR 0.19% 32.237 M $ 702486 2025/12/31 1.244 M $ 7.50 %
2026/03/31 AU ANGLOGOLD ASHANTI PLC 0.19% 32.119 M $ 331172 2023/09/30 3.056 M $ 13.97 %
2026/03/31 LIN LINDE PLC 0.19% 31.905 M $ 64356 2023/03/31 5.771 M $ 16.27 %
2026/03/31 XLF SELECT SECTOR SPDR TR 0.19% 31.611 M $ 640294 2024/09/30 -5.587 M $ -9.86 %
2026/03/31 TMO THERMO FISHER SCIENTIFIC INC 0.19% 31.456 M $ 63996 2010/06/30 -10.194 M $ -15.17 %
2026/03/31 IBM INTERNATIONAL BUSINESS MACHS 0.18% 31.227 M $ 128829 2010/06/30 -8.896 M $ -18.17 %