BCIM
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British Columbia Investment Management’s Trane Technologies TT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$15.4M Sell
35,291
-7,742
-18% -$3.39M 0.09% 181
2025
Q1
$14.5M Sell
43,033
-181
-0.4% -$61K 0.09% 195
2024
Q4
$16M Buy
43,214
+5,444
+14% +$2.01M 0.1% 186
2024
Q3
$14.7M Sell
37,770
-5,725
-13% -$2.23M 0.09% 184
2024
Q2
$14.3M Sell
43,495
-101,976
-70% -$33.5M 0.09% 184
2024
Q1
$43.7M Sell
145,471
-24,530
-14% -$7.36M 0.3% 73
2023
Q4
$41.5M Sell
170,001
-30,403
-15% -$7.42M 0.34% 66
2023
Q3
$40.7M Hold
200,404
0.39% 62
2023
Q2
$38.3M Sell
200,404
-31,474
-14% -$6.02M 0.36% 67
2023
Q1
$42.7M Buy
231,878
+11,744
+5% +$2.16M 0.44% 52
2022
Q4
$37M Sell
220,134
-72,011
-25% -$12.1M 0.4% 51
2022
Q3
$42.3M Sell
292,145
-43,841
-13% -$6.35M 0.48% 46
2022
Q2
$43.6M Buy
335,986
+21,372
+7% +$2.78M 0.41% 52
2022
Q1
$48M Sell
314,614
-53,280
-14% -$8.14M 0.31% 64
2021
Q4
$74.3M Sell
367,894
-216,560
-37% -$43.8M 0.42% 53
2021
Q3
$101M Sell
584,454
-88,959
-13% -$15.4M 0.59% 32
2021
Q2
$124M Sell
673,413
-193,915
-22% -$35.7M 0.76% 24
2021
Q1
$144M Buy
867,328
+381,847
+79% +$63.2M 1.03% 19
2020
Q4
$70.5M Buy
485,481
+88,650
+22% +$12.9M 0.49% 47
2020
Q3
$48.1M Sell
396,831
-263,882
-40% -$32M 0.4% 60
2020
Q2
$58.8M Buy
660,713
+84,910
+15% +$7.56M 0.58% 41
2020
Q1
$47.6M Buy
575,803
+155,384
+37% +$12.8M 0.81% 32
2019
Q4
$55.9M Buy
420,419
+61,910
+17% +$8.23M 0.42% 58
2019
Q3
$44.2M Sell
358,509
-12,063
-3% -$1.49M 0.43% 58
2019
Q2
$46.9M Sell
370,572
-72,023
-16% -$9.12M 0.41% 58
2019
Q1
$47.8M Sell
442,595
-27,669
-6% -$2.99M 0.43% 60
2018
Q4
$42.9M Buy
470,264
+33,811
+8% +$3.08M 0.38% 61
2018
Q3
$44.6M Buy
436,453
+6,237
+1% +$638K 0.47% 47
2018
Q2
$38.6M Sell
430,216
-64,955
-13% -$5.83M 0.34% 64
2018
Q1
$42.3M Buy
495,171
+49,909
+11% +$4.27M 0.32% 68
2017
Q4
$39.7M Buy
445,262
+72,459
+19% +$6.46M 0.28% 82
2017
Q3
$33.2M Buy
372,803
+16,086
+5% +$1.43M 0.26% 93
2017
Q2
$32.6M Sell
356,717
-106,310
-23% -$9.72M 0.26% 92
2017
Q1
$37.7M Buy
463,027
+45,285
+11% +$3.68M 0.3% 68
2016
Q4
$31.3M Sell
417,742
-50,131
-11% -$3.76M 0.27% 89
2016
Q3
$31.8M Buy
467,873
+6,605
+1% +$449K 0.32% 69
2016
Q2
$29.4M Sell
461,268
-116,163
-20% -$7.4M 0.26% 84
2016
Q1
$35.8M Buy
577,431
+14,836
+3% +$920K 0.34% 68
2015
Q4
$31.1M Sell
562,595
-10,461
-2% -$578K 0.3% 80
2015
Q3
$29.1M Buy
573,056
+25,731
+5% +$1.31M 0.3% 80
2015
Q2
$36.9M Sell
547,325
-52,686
-9% -$3.55M 0.35% 60
2015
Q1
$40.8M Sell
600,011
-232,213
-28% -$15.8M 0.37% 58
2014
Q4
$52.8M Sell
832,224
-27,179
-3% -$1.72M 0.44% 53
2014
Q3
$48.4M Buy
859,403
+556,521
+184% +$31.4M 0.41% 56
2014
Q2
$18.9M Buy
302,882
+101,842
+51% +$6.37M 0.15% 175
2014
Q1
$11.5M Sell
201,040
-92,094
-31% -$5.27M 0.1% 254
2013
Q4
$18.1M Buy
293,134
+2,937
+1% +$181K 0.14% 181
2013
Q3
$18.8M Sell
290,197
-3,390
-1% -$220K 0.16% 156
2013
Q2
$16.3M Buy
+293,587
New +$16.3M 0.13% 180