How Institutional Funds Moved on AEM

Position changes disclosed in SEC Form 13F filings. These report a quarterly snapshot, not exact trade dates.

FundChangeQuarter
RENAISSANCE TECHNOLOGIES LLC RENAISSANCE TECHNOLOGIES LLC increased this position by 3011% ($2,475,747 -> $77,028,405). 2026-06-30
NORGES BANK NORGES BANK opened a new position worth $1,310,556,144. 2026-06-30
MUFG Securities EMEA plc MUFG Securities EMEA plc opened a new position worth $57,396,601. 2026-06-30
Sixth Street Partners Management Company, L.P. Sixth Street Partners Management Company, L.P. opened a new position worth $199,989,028. 2026-06-30
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ MASSACHUSETTS FINANCIAL SERVICES CO /MA/ increased this position by 8405% ($2,866,899 -> $243,837,375). 2026-06-30
AlTi Global, Inc. AlTi Global, Inc. increased this position by 36628% ($113,644 -> $41,738,657). 2026-06-30
Capital Research Global Investors Capital Research Global Investors increased this position by 46% ($117,843,753 -> $172,018,773). 2026-06-30
Capital International Investors Capital International Investors increased this position by 75% ($50,868,212 -> $88,779,948). 2026-06-30

Which Funds Hold AEM

Largest reported positions as of 2026-06-30.

FundValueShares
Capital World Investors $3,064,450,607 19,724,774
VAN ECK ASSOCIATES CORP $2,626,853,549 16,933,526
VANGUARD CAPITAL MANAGEMENT LLC $2,203,880,641 14,184,268
MACKENZIE FINANCIAL CORP $1,965,811,884 8,920,911
FMR LLC $1,961,490,525 12,628,961
NORGES BANK $1,310,556,144 8,443,750
TD Asset Management Inc $1,022,703,380 6,584,500
BANK OF MONTREAL /CAN/ $988,049,809 6,365,523
Connor, Clark & Lunn Investment Management Ltd. $927,601,832 5,995,364
GEODE CAPITAL MANAGEMENT, LLC $858,224,607 5,293,668

Data compiled from public SEC filings. This is informational reporting, not investment advice.

CIBC Asset Management Inc: 13F Portfolio Moves Tracked Quarterly

Chart tracking CIBC Asset Management Inc's quarterly 13F portfolio moves

This page follows CIBC Asset Management Inc’s portfolio moves, tracked quarter by quarter through its SEC Form 13F filings. Each update adds the fund’s newly disclosed buys and sells, giving a running record of how one of Canada’s larger institutional managers shifts its U.S.-listed and cross-border holdings over time. As with any 13F filings list, … Read more