Canada Life

Canada Life Portfolio holdings

AUM $63.1B
1-Year Return 22.24%
This Quarter Return
+8.91%
1 Year Return
+22.24%
3 Year Return
+92.16%
5 Year Return
+162.31%
10 Year Return
+335.82%
AUM
$43.8B
AUM Growth
+$2.67B
Cap. Flow
-$766M
Cap. Flow %
-1.75%
Top 10 Hldgs %
20.03%
Holding
2,623
New
33
Increased
845
Reduced
1,200
Closed
61

Top Sells

1
BABA icon
Alibaba
BABA
+$137M
2
NVDA icon
NVIDIA
NVDA
+$60.1M
3
AAPL icon
Apple
AAPL
+$57.3M
4
STE icon
Steris
STE
+$42.6M
5
MRK icon
Merck
MRK
+$40.7M

Sector Composition

1 Technology 25.86%
2 Financials 13.34%
3 Healthcare 12.62%
4 Consumer Discretionary 12.34%
5 Communication Services 9.24%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IVV icon
1826
iShares Core S&P 500 ETF
IVV
$675B
$329K ﹤0.01%
766
-1,070
-58% -$460K
MRTX
1827
DELISTED
Mirati Therapeutics, Inc. Common Stock
MRTX
$329K ﹤0.01%
2,035
-187
-8% -$30.2K
TWST icon
1828
Twist Bioscience
TWST
$1.56B
$328K ﹤0.01%
2,462
+370
+18% +$49.3K
RYAM icon
1829
Rayonier Advanced Materials
RYAM
$412M
$327K ﹤0.01%
48,942
-4,198
-8% -$28K
TWI icon
1830
Titan International
TWI
$561M
$325K ﹤0.01%
38,320
-3,594
-9% -$30.5K
UVE icon
1831
Universal Insurance Holdings
UVE
$712M
$325K ﹤0.01%
23,414
-2,878
-11% -$39.9K
CHNG
1832
DELISTED
Change Healthcare Inc. Common Stock
CHNG
$321K ﹤0.01%
13,965
-1,038
-7% -$23.9K
EWC icon
1833
iShares MSCI Canada ETF
EWC
$3.28B
$319K ﹤0.01%
8,574
+184
+2% +$6.85K
AR icon
1834
Antero Resources
AR
$10.1B
$315K ﹤0.01%
20,955
+3,576
+21% +$53.8K
NVTA
1835
DELISTED
Invitae Corporation
NVTA
$315K ﹤0.01%
9,351
-1,822
-16% -$61.4K
SPCE icon
1836
Virgin Galactic
SPCE
$190M
$313K ﹤0.01%
341
-66
-16% -$60.6K
CODI icon
1837
Compass Diversified
CODI
$533M
$311K ﹤0.01%
12,200
+757
+7% +$19.3K
NVRO
1838
DELISTED
NEVRO CORP.
NVRO
$309K ﹤0.01%
1,864
-152
-8% -$25.2K
TG icon
1839
Tredegar Corp
TG
$275M
$308K ﹤0.01%
22,375
AL icon
1840
Air Lease Corp
AL
$7.1B
$304K ﹤0.01%
7,297
-435
-6% -$18.1K
MGP
1841
DELISTED
MGM Growth Properties LLC Class A common shares representing limited liability company interests
MGP
$304K ﹤0.01%
8,302
ESI icon
1842
Element Solutions
ESI
$6.37B
$303K ﹤0.01%
12,952
-63,759
-83% -$1.49M
PAG icon
1843
Penske Automotive Group
PAG
$12.2B
$301K ﹤0.01%
3,982
+46
+1% +$3.48K
POR icon
1844
Portland General Electric
POR
$4.62B
$301K ﹤0.01%
6,532
-368
-5% -$17K
ROCC
1845
DELISTED
Ranger Oil Corporation Class A Common Stock
ROCC
$301K ﹤0.01%
12,755
INSP icon
1846
Inspire Medical Systems
INSP
$2.42B
$300K ﹤0.01%
1,554
-67
-4% -$12.9K
LOCO icon
1847
El Pollo Loco
LOCO
$309M
$299K ﹤0.01%
16,417
MC icon
1848
Moelis & Co
MC
$5.61B
$296K ﹤0.01%
5,203
-427
-8% -$24.3K
PSTG icon
1849
Pure Storage
PSTG
$27.1B
$295K ﹤0.01%
15,132
-572
-4% -$11.2K
RTL
1850
DELISTED
The Necessity Retail REIT, Inc. Class A Common Stock
RTL
$294K ﹤0.01%
34,708
+1,228
+4% +$10.4K