Cross-institution positioning
Oct 7, 2026Mixed positioning. 1 accumulating, 2 exited across 3 comparable institutions.
Source: Schedule 13 researchSee how each tracked institution's reported ownership changed across SEC position dates. Full history is available with Investor or Pro access.
What the evidence shows across the newest institutional, insider, company-event, 13F, fundamental, and price data; STOCKNODE combines these layers into a quantitative research signal while preserving each source and reporting window.
Mixed positioning. 1 accumulating, 2 exited across 3 comparable institutions.
Source: Schedule 13 research1 increased/new, 0 reduced/exited across 1 manager in the latest comparable Form 13F quarter.
Source: Form 13F quarter-end holdingsRevenue +6.8% YoY; Net income +235.8% YoY. Periods are compared only when the SEC facts are aligned and comparable.
Source: SEC Company FactsRecent close is 31% through its reported 52-week range; -8.8% over one year.
Source: Stored historical price seriesFiled Oct 7, 2026. Unlock the dated position comparison, disclosure classification, confidence, price context, and filing-specific significance analysis.
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The research summary above gives the current read. This section shows the dated holder-level evidence behind it.
See each institution's newest reported position against its own prior report, with position as-of date separated from SEC filed date. Institution names and filing freshness remain public below.
Comparable holder direction grouped by SEC position as-of date — never presented as trade dates.
Compare each institution only with its own prior reported position. Public visitors can see who is tracked and how fresh the filing is; paid research reveals the actual comparison.
Investor and Pro reveal holder-by-holder changes, reported ownership history, dated breadth, disclosure timing, institution comparison, and filing-specific analysis without treating Schedule 13 reports as trade dates.
Period-aligned SEC facts. Comparisons appear only when periods and units are comparable.
| Period | Revenue | YoY |
|---|---|---|
| Ended Jan 31, 2026 | 8.4B CAD | +6.8% |
| Ended Jan 31, 2025 | 7.9B CAD | -20.7% |
| Ended Jan 31, 2024 | 10.0B CAD | -0.7% |
| Ended Jan 31, 2023 | 10.0B CAD | +31.2% |
Dated price context from the historical market series already collected for this security.
Returns are close-to-close price changes. Volatility and drawdown are factual historical context, not recommendations.
Schedule 13G/13D reports beneficial ownership at an observation date. “Accumulation” or “reduction” is inferred from changes in reported shares when available; it is not a list of individual trades or exact execution prices.
Form 13F rows are quarter-end holding context only and do not establish an exact entry date.
For more context, see how to read a Schedule 13G, filing date vs event date, or Schedule 13G vs Schedule 13D.
| Holder | Observed / filed | Reported change | Shares | Ownership | Observation | Filing | Latest |
|---|---|---|---|---|---|---|---|
| Fidelity / FMR CIK0000315066 | Sep 30, 2026 observed Oct 7, 2026 filed · 7d Schedule 13G amendment | Reported accumulation | 4.2M +670.5K | 11.60% +2.40 pts | $56.12 | $56.09 | $52.96 |
| Fidelity / FMR CIK0000315066 | Dec 31, 2025 observed Feb 5, 2026 filed · 36d Schedule 13G amendment | Reported reduction | 3.6M -341.2K | 9.20% -2.10 pts | $70.76 | $76.47 | $52.96 |
| Bank of America CIK0000070858 | Sep 30, 2025 observed Nov 14, 2025 filed · 45d Schedule 13G amendment | Exit below reporting threshold | 1.5M -275.3K | 4.50% -0.80 pts | $60.78 | $64.11 | $52.96 |
Compare DOO with other securities showing similar institutional activity or recent accumulation across several tracked institutions.