$3.92B
$255,000
0.0% of portfolio
28,540
Q3 2025
Reduced 13.86%
$947M
$70,000
0.0% of portfolio
23,000
Q3 2024
Reduced 8.0%
Niocorp Developments LTD Npv Com Stock (Post Rev Split)
-
$0
0.0% of portfolio
-
Q3 2025
New
$831M
$819,000
0.0% of portfolio
205,950
Q2 2025
Added 6.19%
$38.8B
$829,000
0.0% of portfolio
25,958
Q3 2025
Added 23.86%
$45.2B
$297,000
0.0% of portfolio
4,981
Q3 2025
Reduced 5.25%
$39.8B
$851,000
0.0% of portfolio
18,025
Q3 2025
Reduced 7.45%
$4.89B
$125,000
0.0% of portfolio
17,500
Q3 2025
Reduced 16.94%
$0
$27,000
0.0% of portfolio
11,453
Q3 2025
Added 1.0%
$92B
$205,000
0.0% of portfolio
1,350
Q3 2025
New
$9.69B
$418,000
0.0% of portfolio
16,203
Q3 2025
Added 10.87%
Mogo Inc Npv Com Stk (Post Rev Split)
-
$0
0.0% of portfolio
-
Q3 2025
New
$9.78B
$371,000
0.0% of portfolio
8,251
Q3 2025
Added 8.57%
$0
$771,000
0.0% of portfolio
14,810
Q3 2025
Reduced 2.87%
$276M
$184,000
0.0% of portfolio
92,000
Q2 2025
Added 27.07%
Cooper Cos Inc Usd0.10 Com Stk (Post Split)
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 5.3%
$0
$73,000
0.0% of portfolio
10,000
Q3 2023
New
$120B
$890,000
0.0% of portfolio
28,342
Q3 2025
Reduced 0.83%
Ms 543 Ftse Supertracker 2025 F
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 5.86%
$2.4B
$247,000
0.0% of portfolio
10,000
Q3 2023
Reduced 33.33%
$14.7B
$253,000
0.0% of portfolio
3,114
Q2 2025
Reduced 2.32%
$2.34B
$116,000
0.0% of portfolio
12,931
Q3 2025
Reduced 3.62%
$10.6B
$696,000
0.0% of portfolio
2,750
Q2 2025
Reduced 8.33%
$112M
$147,000
0.0% of portfolio
32,003
Q1 2024
Reduced 48.38%
$2.43B
$333,000
0.0% of portfolio
10,230
Q3 2025
Reduced 0.07%
$1.41B
$394,000
0.0% of portfolio
19,340
Q2 2025
Added 12.18%
-
$269,000
0.0% of portfolio
20,500
Q3 2025
New
$85.6B
$140,000
0.0% of portfolio
11,110
Q2 2025
New
Brookfield Asset Mgmt Cls A Limited Voting Shs (Cad)
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 9.81%
$68.5B
$691,000
0.0% of portfolio
5,085
Q3 2025
Reduced 12.1%
Brookfield Corp Cls A Limited Voting Shs (Cad)
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 2.94%
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 3.59%
$259M
$159,000
0.0% of portfolio
34,858
Q1 2025
Reduced 13.63%
$11.9B
$248,000
0.0% of portfolio
5,864
Q2 2025
New
Diversified Energy CO PLC 20p Ordinary Shares
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 9.16%
$77.2B
$245,000
0.0% of portfolio
1,154
Q3 2025
Reduced 5.18%
$92.4M
$601,000
0.0% of portfolio
233,018
Q2 2025
Reduced 1.6%
Canadian Pac Kansas City LTD Npv Common Stock
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 1.09%
$3.66B
$388,000
0.0% of portfolio
35,950
Q3 2025
Added 71.6%
$64.7B
$674,000
0.0% of portfolio
7,155
Q4 2024
Reduced 1.45%
$3.94B
$406,000
0.0% of portfolio
21,645
Q1 2025
New
$33.2B
$232,000
0.0% of portfolio
2,369
Q2 2025
Reduced 2.03%
$0
$655,000
0.0% of portfolio
131,400
Q3 2024
Added 417.32%
$0
$382,000
0.0% of portfolio
3,938
Q3 2025
Reduced 13.22%
$55.4B
$903,000
0.0% of portfolio
2,959
Q2 2025
Added 20.58%
Lam Research Corp Usd0.001 Com Stock (P/S)
-
$0
0.0% of portfolio
-
Q3 2025
Added 68.86%
$0
$422,000
0.0% of portfolio
12,158
Q3 2025
Reduced 2.88%
$2.4B
$733,000
0.0% of portfolio
26,575
Q3 2025
Added 12.73%
Liberty Media Corp Usd0.01 F1 Ser C Com Stk
-
$0
0.0% of portfolio
-
Q2 2025
Added 0.45%
Lightbridge Corp Usd0.001 Com Stk (P R Split)
-
$0
0.0% of portfolio
-
Q3 2025
Reduced 1.1%