BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

13F Portfolio Filings

Latest 13F report
Q2 2024 - Aug 14, 2024
Value $
$16.6B
Signature - Title
Hui Chun Cathy Lin - Vice President & Chief Compliance Officer
Location
750 Pandora Ave, Victoria, British Columbia, Canada
Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Date Filed
Q2 2024 732 $16.6B +$5.13B -$2.45B +$2.67B MSFT, NVDA, TD, AAPL, HYG 13F-HR 8/14/2024, 04:52 PM
Q1 2024 788 $14.5B +$2.42B -$1.12B +$1.3B MSFT, TD, NVDA, HYG, RY 13F-HR 5/14/2024, 06:59 PM
Q4 2023 782 $12.2B +$1.95B -$1.5B +$454M MSFT, HYG, AMZN, AAPL, TD 13F-HR 2/14/2024, 02:40 PM
Q3 2023 804 $10.5B +$1.3B -$1.04B +$258M MSFT, HYG, TD, AMZN, UNH 13F-HR 11/14/2023, 04:44 PM
Q2 2023 802 $10.7B +$1.94B -$1.39B +$560M MSFT, HYG, AAPL, TD, UNH 13F-HR 8/11/2023, 04:40 PM
Q1 2023 807 $9.59B +$921M -$980M -$59.1M MSFT, HYG, UNH, TD, AAPL 13F-HR 5/12/2023, 12:26 PM
Q4 2022 811 $9.14B +$995M -$1.32B -$326M MSFT, HYG, UNH, RY, MA 13F-HR 2/10/2023, 06:29 PM
Q3 2022 819 $8.87B +$636M -$1.41B -$772M MSFT, HYG, UNH, AAPL, RY 13F-HR 11/10/2022, 05:29 PM
Q2 2022 817 $10.5B +$1.34B -$3.66B -$2.32B MSFT, HYG, TD, AAPL, UNH 13F-HR 8/12/2022, 05:30 PM
Q1 2022 839 $15.6B +$1.29B -$2.87B -$1.58B RY, MSFT, CNQ, AAPL, TD 13F-HR 5/12/2022, 04:18 PM
Q4 2021 836 $17.8B +$1.59B -$2.2B -$611M MSFT, RY, AAPL, TD, BNS 13F-HR 2/11/2022, 05:24 PM
Q3 2021 838 $17B +$2.1B -$990M +$1.11B MSFT, RY, TD, TRP, AAPL 13F-HR 11/12/2021, 04:19 PM
Q2 2021 841 $16.3B +$2.55B -$1.12B +$1.43B TRP, TD, MSFT, BNS, AAPL Restatement 9/28/2021, 06:26 PM
Q1 2021 826 $13.9B +$1.28B -$2.53B -$1.25B BNS, TRP, RY, AAPL, TD 13F-HR 4/29/2021, 05:31 PM
Q4 2020 819 $14.3B +$1.27B -$641M +$624M TD, AAPL, RY, SHOP, MSFT 13F-HR 2/2/2021, 01:47 PM
Q3 2020 810 $12.2B +$1.82B -$244M +$1.57B TD, AAPL, SHOP, RY, MSFT 13F-HR 11/10/2020, 02:05 PM
Q2 2020 797 $10.1B +$3.29B -$276M +$3.01B TD, RY, AAPL, MSFT, SHOP 13F-HR 8/12/2020, 11:50 AM
Q1 2020 813 $5.9B +$336M -$4.99B -$4.65B TD, RY, BABA, MSFT, AAPL 13F-HR 5/13/2020, 02:00 PM
Q4 2019 823 $13.4B +$3.46B -$1.13B +$2.32B MSFT, TD, AMZN, AAPL, RY 13F-HR 2/12/2020, 05:24 PM
Q3 2019 786 $10.3B +$802M -$1.98B -$1.18B TD, MSFT, RY, AAPL, ENB 13F-HR 11/14/2019, 05:11 PM
Q2 2019 789 $11.4B +$1.05B -$1.25B -$200M MSFT, TD, AAPL, RY, AMZN Restatement 9/5/2019, 08:54 PM
Q1 2019 766 $11.2B +$714M -$2.24B -$1.52B MSFT, RY, TD, AAPL, AMZN Restatement 9/5/2019, 08:50 PM
Q4 2018 762 $11.2B +$2.26B -$436M +$1.82B MSFT, AAPL, RY, TD, AMZN Restatement 9/5/2019, 08:45 PM
Q3 2018 689 $9.41B +$167M -$2.78B -$2.61B AAPL, MSFT, AMZN, JNJ, GOOGL 13F-HR 11/13/2018, 03:20 PM
Q2 2018 689 $11.3B +$519M -$2.64B -$2.12B MSFT, AAPL, AMZN, META, JNJ 13F-HR 8/9/2018, 01:55 PM
Q1 2018 687 $13B +$551M -$1.46B -$911M MSFT, AAPL, AMZN, JNJ, GOOG 13F-HR 5/14/2018, 08:01 PM
Q4 2017 690 $14.1B +$1.2B -$688M +$511M AAPL, MSFT, JNJ, AMZN, META 13F-HR 2/20/2018, 01:36 PM
Q3 2017 693 $12.9B +$828M -$878M -$50.1M AAPL, MSFT, JNJ, META, AMZN 13F-HR 11/13/2017, 08:27 PM
Q2 2017 694 $12.5B +$696M -$1.11B -$417M AAPL, MSFT, JNJ, AMZN, GOOG 13F-HR 8/2/2017, 06:23 PM
Q1 2017 688 $12.5B +$1.26B -$662M +$597M AAPL, MSFT, JNJ, AMZN, META 13F-HR 5/4/2017, 01:03 PM
Q4 2016 692 $11.3B +$1.52B -$261M +$1.26B AAPL, MSFT, JNJ, XOM, GE 13F-HR 2/8/2017, 06:46 PM
Q3 2016 678 $9.87B +$224M -$2.09B -$1.86B AAPL, MSFT, JNJ, GE, XOM 13F-HR 10/11/2016, 07:00 PM
Q2 2016 686 $11.4B +$1.23B -$633M +$592M HYG, JNK, AAPL, MSFT, JNJ 13F-HR 7/7/2016, 06:53 PM
Q1 2016 693 $10.6B +$662M -$481M +$181M AAPL, MSFT, JNJ, GE, XOM 13F-HR 4/8/2016, 04:48 PM
Q4 2015 685 $10.3B +$1.26B -$1.11B +$144M AAPL, MSFT, JNJ, GE, XOM 13F-HR 1/22/2016, 06:05 PM
Q3 2015 714 $9.72B +$866M -$748M +$118M AAPL, JNJ, MSFT, XOM, BRKB 13F-HR 10/13/2015, 06:20 PM
Q2 2015 728 $10.5B $0 $0 AAPL, XOM, JNJ, MSFT, WFC New Holdings 10/13/2015, 06:46 PM
Q2 2015 728 $10.5B +$937M -$1.24B -$298M AAPL, XOM, JNJ, MSFT, WFC 13F-HR 7/24/2015, 06:06 PM
Q1 2015 714 $10.9B $0 $0 AAPL, JNJ, XOM, MSFT, PG New Holdings 10/14/2015, 05:27 PM
Q1 2015 714 $10.9B +$951M -$1.87B -$923M AAPL, JNJ, XOM, MSFT, PG 13F-HR 5/4/2015, 05:38 PM
Q4 2014 784 $12.1B $0 $0 AAPL, XOM, MSFT, PG, JNJ New Holdings 10/14/2015, 05:41 PM
Q4 2014 784 $12.1B +$881M -$1.12B -$244M AAPL, XOM, MSFT, PG, JNJ 13F-HR 1/6/2015, 05:52 PM
Q3 2014 773 $11.9B $0 $0 AAPL, XOM, MSFT, JNJ, PG New Holdings 10/14/2015, 05:51 PM
Q3 2014 773 $11.9B +$428M -$894M -$466M AAPL, XOM, MSFT, JNJ, PG 13F-HR 10/7/2014, 02:35 PM
Q2 2014 779 $12.4B $0 $0 AAPL, XOM, JNJ, MSFT, PG New Holdings 10/14/2015, 05:58 PM
Q2 2014 779 $12.4B +$1.02B -$633M +$391M AAPL, XOM, JNJ, MSFT, PG 13F-HR 7/7/2014, 05:00 PM
Q1 2014 779 $11.9B $0 $0 AAPL, GOOGL, XOM, PG, JNJ New Holdings 10/14/2015, 06:05 PM
Q1 2014 779 $11.9B +$426M -$1.26B -$829M AAPL, GOOGL, XOM, PG, JNJ 13F-HR 4/15/2014, 04:57 PM
Q4 2013 785 $12.7B $0 $0 AAPL, XOM, GOOGL, PG, JNJ New Holdings 10/14/2015, 06:14 PM
Q4 2013 662 $9.2B $0 $0 AAPL, XOM, GOOGL, PG, MSFT 13F-HR 1/14/2014, 05:36 PM
Q3 2013 767 $11.9B $0 $0 AAPL, XOM, GOOGL, JNJ, PG New Holdings 10/14/2015, 06:23 PM
Q2 2013 761 $12.1B $0 $0 XOM, AAPL, MSFT, GOOGL, JNJ New Holdings 10/14/2015, 06:28 PM
Q1 2013 768 $12.1B $0 $0 AAPL, XOM, JNJ, IBM, GOOGL New Holdings 10/14/2015, 06:35 PM
Q4 2012 713 $10.4B $0 $0 AAPL, XOM, IBM, MSFT, JNJ New Holdings 10/14/2015, 06:43 PM
Q3 2012 705 $10.8B $0 $0 AAPL, XOM, MSFT, IBM, GOOGL New Holdings 10/14/2015, 06:50 PM
Q2 2012 703 $9.94B $0 $0 AAPL, XOM, MSFT, IBM, JNJ New Holdings 10/14/2015, 06:55 PM
Q1 2012 690 $10.2B $0 $0 AAPL, XOM, MSFT, IBM, PG New Holdings 10/14/2015, 07:01 PM
Q4 2011 678 $8.64B $0 $0 XOM, AAPL, IBM, MSFT, PG New Holdings 10/14/2015, 07:08 PM
Q3 2011 653 $7.58B $0 $0 XOM, AAPL, IBM, MSFT, JNJ New Holdings 10/14/2015, 07:14 PM