Td-Asset-Management

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-07
Total Holdings
1,653
Total Value
104147563723
Accession Number
0000950123-25-004199
Form Type
13F-HR
Manager Name
Td-Asset-Management
Data Enrichment
95% identified
1,578 identified75 unidentified

Holdings

1,653 positions • $104.1B total value
Manager:
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EXPEDITORS INTERNATIONAL OF WASHINGTON INC
Shares:1.3M
Value:$152.8M
% of Portfolio:0.1% ($152.8M/$104.1B)
81369Y704
Shares:1.1M
Value:$149.0M
% of Portfolio:0.1% ($149.0M/$104.1B)
NVR INC
Shares:20.5K
Value:$148.7M
% of Portfolio:0.1% ($148.7M/$104.1B)
Spotify Technology S.A.
Shares:266.2K
Value:$146.4M
% of Portfolio:0.1% ($146.4M/$104.1B)
DEERE & CO
Shares:311.0K
Value:$146.0M
% of Portfolio:0.1% ($146.0M/$104.1B)
EAGLE MATERIALS INC
Shares:651.1K
Value:$144.5M
% of Portfolio:0.1% ($144.5M/$104.1B)
CHEVRON CORP
Shares:853.6K
Value:$142.8M
% of Portfolio:0.1% ($142.8M/$104.1B)
AGILENT TECHNOLOGIES, INC.
Shares:1.2M
Value:$137.7M
% of Portfolio:0.1% ($137.7M/$104.1B)
Encompass Health Corp
Shares:1.3M
Value:$135.6M
% of Portfolio:0.1% ($135.6M/$104.1B)
Hess Midstream LP
Shares:3.1M
Value:$133.1M
% of Portfolio:0.1% ($133.1M/$104.1B)
ALNYLAM PHARMACEUTICALS, INC.
Shares:486.6K
Value:$131.4M
% of Portfolio:0.1% ($131.4M/$104.1B)
DANAHER CORP /DE/
Shares:633.3K
Value:$129.8M
% of Portfolio:0.1% ($129.8M/$104.1B)
81369Y209
Shares:887.1K
Value:$129.5M
% of Portfolio:0.1% ($129.5M/$104.1B)
MARKEL GROUP INC.
Shares:68.6K
Value:$128.3M
% of Portfolio:0.1% ($128.3M/$104.1B)
ADVANCED MICRO DEVICES INC
Shares:1.2M
Value:$127.4M
% of Portfolio:0.1% ($127.4M/$104.1B)
ORACLE CORP
Shares:897.9K
Value:$125.5M
% of Portfolio:0.1% ($125.5M/$104.1B)
FAIR ISAAC CORP
Shares:68.0K
Value:$125.5M
% of Portfolio:0.1% ($125.5M/$104.1B)
IDEXX LABORATORIES INC /DE
Shares:293.7K
Value:$123.3M
% of Portfolio:0.1% ($123.3M/$104.1B)
DECKERS OUTDOOR CORP
Shares:1.1M
Value:$122.6M
% of Portfolio:0.1% ($122.6M/$104.1B)
Philip Morris International Inc.
Shares:769.1K
Value:$122.1M
% of Portfolio:0.1% ($122.1M/$104.1B)