TF
| Investor | Type | Est. change | Change | Δ Own | Date | ||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
|
Maple Rock Capital Partners Inc.
· New
+$152M
Change
+1.4M
Date
Q1 2026
|
Maple Rock Capital Partners Inc. | New· Q1 2026 | +$152M | +1.4M | – | Q1 2026 | |||||
|
Fil Ltd
· Reduced
−$140M
Change
−1.3M
Date
Q1 2026
|
Fil Ltd | Reduced· Q1 2026 | −$140M | −1.3M | – | Q1 2026 | |||||
|
UBS Group AG
· Reduced
−$136M
Change
−1.2M
Date
Q1 2026
|
UBS Group AG | Reduced· Q1 2026 | −$136M | −1.2M | – | Q1 2026 | |||||
|
Royal Bank of Canada
· Added
+$120M
Change
+1.1M
Date
Q1 2026
|
Royal Bank of Canada | Added· Q1 2026 | +$120M | +1.1M | – | Q1 2026 | |||||
|
Norges
· Exited
−$115M
Change
−1.0M
Δ Own
−100.0%
Date
Q1 2026
|
Norges | Exited· Q1 2026 | −$115M | −1.0M | −100.0% | Q1 2026 | |||||
|
1832 Asset Management L.P.
· Reduced
−$71M
Change
−638K
Date
Q1 2026
|
1832 Asset Management L.P. | Reduced· Q1 2026 | −$71M | −638K | – | Q1 2026 | |||||
|
Clearbridge Investments, LLC
· New
+$70M
Change
+631K
Date
Q1 2026
|
Clearbridge Investments, LLC | New· Q1 2026 | +$70M | +631K | – | Q1 2026 | |||||
|
Manufacturers Life Insurance Company, the
· Added
+$57M
Change
+506K
Date
Q1 2026
|
Manufacturers Life Insurance Company, the | Added· Q1 2026 | +$57M | +506K | – | Q1 2026 | |||||
|
Connor, Clark & Lunn Investment Management Ltd.
· Reduced
−$53M
Change
−471K
Date
Q1 2026
|
Connor, Clark & Lunn Investment Management Ltd. | Reduced· Q1 2026 | −$53M | −471K | – | Q1 2026 | |||||
|
Mackenzie Financial Corp
· Added
+$48M
Change
+426K
Date
Q1 2026
|
Mackenzie Financial Corp | Added· Q1 2026 | +$48M | +426K | – | Q1 2026 | |||||
|
Turas Capital Management LP
· New
+$44M
Change
+394K
Date
Q1 2026
|
Turas Capital Management LP | New· Q1 2026 | +$44M | +394K | – | Q1 2026 | |||||
|
CIBC Asset Management Inc
· Added
+$40M
Change
+356K
Date
Q1 2026
|
CIBC Asset Management Inc | Added· Q1 2026 | +$40M | +356K | – | Q1 2026 | |||||
|
FMR LLC
· Reduced
−$34M
Change
−303K
Δ Own
−7.7%
Date
Q1 2026
|
FMR LLC | Reduced· Q1 2026 | −$34M | −303K | −7.7% | Q1 2026 | |||||
|
Turtle Creek Asset Management Inc.
· Reduced
−$33M
Change
−292K
Date
Q1 2026
|
Turtle Creek Asset Management Inc. | Reduced· Q1 2026 | −$33M | −292K | – | Q1 2026 | |||||
|
Td Asset Management Inc
· Reduced
−$29M
Change
−260K
Date
Q1 2026
|
Td Asset Management Inc | Reduced· Q1 2026 | −$29M | −260K | – | Q1 2026 | |||||
230 reporting institutions disclosed TFII position changes in the Q1 2026 snapshot.
For each manager, WhoBought compares accepted consecutive 13F share counts. Share change is current shares minus prior shares. Estimated dollar change is that signed share change multiplied by the split-adjusted quarter-mean close. The activity table on this page uses Q1 2026.
An investor crossing 5% of a share class generally files Schedule 13D for activist intent or Schedule 13G for a passive position. The technical form names appear here rather than in the activity rows.
Ownership and institutional activity come from SEC Form 13F filings. Insider activity comes from SEC Form 4, and large-shareholder activity from SEC Schedules 13D and 13G. FMP supplies price data only. Company logos use the local verified Parqet cache with one shared fallback.
Form 13F is a quarterly disclosure and is normally filed after the quarter ends. Every ownership and activity value therefore names its represented period; it is not presented as a live position.
A muted dash marks a missing table value. It means the filing omitted the value, comparable data is unavailable, or no prior position exists for comparison.