British Columbia Investment Management’s Brookfield BN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$77.1M Sell
1,244,218
-286,291
-19% -$17.7M 0.45% 46
2025
Q1
$80.1M Buy
1,530,509
+898,042
+142% +$47M 0.49% 41
2024
Q4
$36.3M Buy
632,467
+169,342
+37% +$9.72M 0.22% 95
2024
Q3
$24.6M Buy
463,125
+263,375
+132% +$14M 0.15% 125
2024
Q2
$8.31M Buy
199,750
+129,604
+185% +$5.39M 0.05% 273
2024
Q1
$2.94M Buy
70,146
+48,477
+224% +$2.03M 0.02% 453
2023
Q4
$869K Sell
21,669
-331,667
-94% -$13.3M 0.01% 725
2023
Q3
$11M Sell
353,336
-58,965
-14% -$1.84M 0.11% 141
2023
Q2
$13.9M Sell
412,301
-2,791,794
-87% -$94M 0.13% 123
2023
Q1
$104M Buy
3,204,095
+132,592
+4% +$4.32M 1.09% 22
2022
Q4
$96.6M Sell
3,071,503
-1,478,573
-32% -$46.5M 1.06% 22
2022
Q3
$150M Buy
4,550,076
+712,606
+19% +$23.5M 1.69% 9
2022
Q2
$138M Buy
3,837,470
+237,209
+7% +$8.51M 1.31% 15
2022
Q1
$165M Buy
3,600,261
+11,086
+0.3% +$507K 1.05% 20
2021
Q4
$175M Sell
3,589,175
-83,192
-2% -$4.06M 0.99% 22
2021
Q3
$159M Sell
3,672,367
-584,952
-14% -$25.3M 0.94% 22
2021
Q2
$176M Sell
4,257,319
-825,894
-16% -$34.1M 1.08% 17
2021
Q1
$182M Sell
5,083,213
-1,619,243
-24% -$57.8M 1.31% 15
2020
Q4
$222M Sell
6,702,456
-40,007
-0.6% -$1.33M 1.56% 10
2020
Q3
$179M Buy
6,742,463
+867,575
+15% +$23M 1.47% 11
2020
Q2
$155M Buy
5,874,888
+1,807,504
+44% +$47.8M 1.54% 9
2020
Q1
$96.6M Sell
4,067,384
-737,903
-15% -$17.5M 1.64% 9
2019
Q4
$149M Buy
4,805,287
+737,466
+18% +$22.8M 1.11% 15
2019
Q3
$116M Buy
4,067,821
+411,423
+11% +$11.7M 1.12% 11
2019
Q2
$93.8M Sell
3,656,398
-378,173
-9% -$9.7M 0.82% 20
2019
Q1
$101M Buy
4,034,571
+37,710
+0.9% +$941K 0.9% 16
2018
Q4
$81.9M Buy
+3,996,861
New +$81.9M 0.73% 26
2015
Q3
Sell
-1,279,629
Closed -$18.9M 717
2015
Q2
$18.9M Sell
1,279,629
-1
-0% -$15 0.18% 148
2015
Q1
$19M Sell
1,279,630
-2,148,781
-63% -$31.9M 0.17% 150
2014
Q4
$52.1M Sell
3,428,411
-2,657,358
-44% -$40.4M 0.43% 56
2014
Q3
$86M Sell
6,085,769
-515,127
-8% -$7.28M 0.72% 26
2014
Q2
$95.8M Hold
6,600,896
0.77% 23
2014
Q1
$85.8M Hold
6,600,896
0.72% 26
2013
Q4
$84.7M Sell
6,600,896
-490,068
-7% -$6.29M 0.67% 30
2013
Q3
$90.6M Sell
7,090,964
-474,691
-6% -$6.07M 0.76% 24
2013
Q2
$90.7M Buy
+7,565,655
New +$90.7M 0.75% 30