BCIM
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British Columbia Investment Management’s TC Energy TRP Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$130M Buy
2,670,923
+549,880
+26% +$26.9M 0.76% 21
2025
Q1
$100M Buy
2,121,043
+1,663,412
+363% +$78.6M 0.62% 27
2024
Q4
$21.3M Sell
457,631
-611,066
-57% -$28.4M 0.13% 154
2024
Q3
$50.8M Buy
1,068,697
+403,646
+61% +$19.2M 0.3% 64
2024
Q2
$25.2M Sell
665,051
-745,834
-53% -$28.3M 0.15% 125
2024
Q1
$56.7M Sell
1,410,885
-29,839
-2% -$1.2M 0.39% 55
2023
Q4
$56.3M Buy
1,440,724
+1,116,919
+345% +$43.6M 0.46% 47
2023
Q3
$11.1M Buy
323,805
+15,577
+5% +$536K 0.11% 136
2023
Q2
$12.5M Buy
308,228
+97,007
+46% +$3.92M 0.12% 130
2023
Q1
$8.22M Sell
211,221
-12,725
-6% -$495K 0.09% 202
2022
Q4
$8.93M Sell
223,946
-963,216
-81% -$38.4M 0.1% 184
2022
Q3
$47.8M Sell
1,187,162
-1,192,109
-50% -$48M 0.54% 40
2022
Q2
$123M Sell
2,379,271
-4,046,467
-63% -$209M 1.17% 17
2022
Q1
$362M Buy
6,425,738
+755,016
+13% +$42.6M 2.32% 6
2021
Q4
$264M Sell
5,670,722
-4,389,438
-44% -$204M 1.48% 11
2021
Q3
$484M Sell
10,060,160
-2,264,460
-18% -$109M 2.85% 4
2021
Q2
$610M Buy
12,324,620
+3,122,139
+34% +$154M 3.75% 1
2021
Q1
$422M Buy
9,202,481
+2,474,063
+37% +$113M 3.04% 2
2020
Q4
$274M Buy
6,728,418
+2,266,980
+51% +$92.2M 1.92% 6
2020
Q3
$187M Buy
4,461,438
+1,574,942
+55% +$66.1M 1.54% 8
2020
Q2
$123M Buy
2,886,496
+1,140,690
+65% +$48.7M 1.22% 15
2020
Q1
$77.6M Sell
1,745,806
-477,929
-21% -$21.3M 1.32% 14
2019
Q4
$118M Buy
2,223,735
+1,531,307
+221% +$81.6M 0.88% 21
2019
Q3
$35.9M Buy
692,428
+45,405
+7% +$2.35M 0.35% 75
2019
Q2
$32.1M Sell
647,023
-563,574
-47% -$28M 0.28% 85
2019
Q1
$54.4M Buy
1,210,597
+62,885
+5% +$2.83M 0.48% 46
2018
Q4
$41M Buy
+1,147,712
New +$41M 0.37% 66
2015
Q3
Sell
-539,400
Closed -$17.6M 722
2015
Q2
$17.6M Hold
539,400
0.17% 155
2015
Q1
$18.2M Sell
539,400
-394,500
-42% -$13.3M 0.16% 159
2014
Q4
$39.6M Sell
933,900
-920,800
-50% -$39M 0.33% 76
2014
Q3
$85.5M Sell
1,854,700
-143,300
-7% -$6.61M 0.72% 27
2014
Q2
$89.5M Hold
1,998,000
0.72% 26
2014
Q1
$82.4M Hold
1,998,000
0.69% 27
2013
Q4
$85.9M Hold
1,998,000
0.68% 29
2013
Q3
$85.4M Sell
1,998,000
-302,000
-13% -$12.9M 0.72% 29
2013
Q2
$94M Buy
+2,300,000
New +$94M 0.77% 28