HoldingsChannel.com
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 2,579,788 +91,717 $345,588
     MSFT2,579,788+91,717$345,588
TORONTO DOMINION BK 4,900,984 +366,663 $286,989
     TD4,900,984+366,663$286,989
APPLE INC 1,216,742 +27,694 $240,818
     AAPL1,216,742+27,694$240,818
ROYAL BANK CDA 2,643,133 -651,855 $210,500
     RY2,643,133-651,855$210,500
AMAZON COM INC 110,704 +3,861 $209,632
     AMZN110,704+3,861$209,632
MASTERCARD INC 680,216 +91,531 $179,938
     MA680,216+91,531$179,938
ENBRIDGE INC 3,877,882 -771,777 $140,366
     ENB3,877,882-771,777$140,366
UNITEDHEALTH GRP INC 547,150 +38,771 $133,510
     UNH547,150+38,771$133,510
BANK OF NOVA SCOTIA 2,375,964 -679,159 $127,894
     BNS2,375,964-679,159$127,894
JOHNSON & JOHNSON 917,061 -33,086 $127,728
     JNJ917,061-33,086$127,728
FACEBOOK INC 614,010 +11,413 $118,504
     FB614,010+11,413$118,504
ALPHABET INC 107,184 -14,194 $116,059
     GOOGL107,184-14,194$116,059
NIKE INC 1,345,341 +213,056 $112,941
     NKE1,345,341+213,056$112,941
ALPHABET INC 103,538 +17,477 $111,915
     GOOG103,538+17,477$111,915
ALIBABA GROUP HLDG 637,700 +35,900 $108,058
     BABA637,700+35,900$108,058
VISA INC 620,587 +323,340 $107,703
     V620,587+323,340$107,703
CDN NATL RAILWAY 1,127,357 -256,502 $104,561
     CNI1,127,357-256,502$104,561
SUNCOR ENERGY INC 3,292,517 -641,413 $102,927
     SU3,292,517-641,413$102,927
PROCTER & GAMBLE CO 908,997 +90,543 $99,672
     PG908,997+90,543$99,672
BROOKFIELD ASSET MGT 1,956,875 -202,395 $93,819
     BAM1,956,875-202,395$93,819
JPMORGAN CHASE & CO 824,144 +9,849 $92,139
     JPM824,144+9,849$92,139
WALT DISNEY CO 613,804 -45,533 $85,712
     DIS613,804-45,533$85,712
EXXON MOBIL CORP 1,060,051 -20,894 $81,232
     XOM1,060,051-20,894$81,232
WORLDPAY INC 650,218 +122,942 $79,684
     WP650,218+122,942$79,684
VERIZON COMMUNICATIO 1,393,043 +40,957 $79,585
     VZ1,393,043+40,957$79,585
HOME DEPOT INC 380,058 +114,171 $79,041
     HD380,058+114,171$79,041
MERCK & CO INC 936,750 +85,629 $78,546
     MRK936,750+85,629$78,546
INTEL CORP 1,607,729 +62,647 $76,962
     INTC1,607,729+62,647$76,962
CDN PACIFIC RAILWAY 309,010 -63,197 $72,935
     CP309,010-63,197$72,935
WASTE CONNECTIONS 733,512 +30,225 $70,214
     WCN733,512+30,225$70,214
ACCENTURE PLC 379,917 +6,816 $70,197
     ACN379,917+6,816$70,197
MANULIFE FINCL CORP 3,822,212 -834,395 $69,614
     MFC3,822,212-834,395$69,614
BERKSHIRE HATHAWAY      $68,969
     BRK.B323,538+10,285$68,969
COCA COLA CO 1,349,601 +59,632 $68,722
     KO1,349,601+59,632$68,722
BANK OF AMERICA CORP 2,303,379 +63,417 $66,798
     BAC2,303,379+63,417$66,798
PEPSICO INC 495,130 -5,460 $64,926
     PEP495,130-5,460$64,926
CVS HEALTH CORP 1,156,851 +246,529 $63,037
     CVS1,156,851+246,529$63,037
CDN NATURAL RES 2,327,367 -418,416 $62,888
     CNQ2,327,367-418,416$62,888
CISCO SYSTEMS INC 1,147,868 -351,137 $62,823
     CSCO1,147,868-351,137$62,823
BOOKING HLDGS INC 32,541 +396 $61,005
     BKNG32,541+396$61,005
PFIZER INC 1,396,067 +13,097 $60,478
     PFE1,396,067+13,097$60,478
AT&T INC 1,798,598 -92,956 $60,271
     T1,798,598-92,956$60,271
CHEVRON CORP 472,803 -36,602 $58,836
     CVX472,803-36,602$58,836
TELUS CORP 1,524,441 -272,858 $56,475
     TU1,524,441-272,858$56,475
WELLS FARGO & CO 1,163,025 +96,902 $55,034
     WFC1,163,025+96,902$55,034
NETFLIX INC 146,350 +7,615 $53,757
     NFLX146,350+7,615$53,757
CGI INC 693,996 -77,299 $53,470
     GIB693,996-77,299$53,470
TEXAS INSTRUMENTS 465,556 +2,809 $53,427
     TXN465,556+2,809$53,427
TE CONNECTIVITY 555,323 +40,259 $53,189
     TEL555,323+40,259$53,189
MCDONALDS CORP 256,050 +9,440 $53,171
     MCD256,050+9,440$53,171

See Full List: All Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

Size ($ in 1000's)
At 06/30/2019: $11,439,471
At 03/31/2019: $11,315,848

BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp 13F filings. Link to 13F filings: SEC filings

BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp Top Holdings 13F Filings | www.HoldingsChannel.com

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