Td-Waterhouse-Canada

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-09
Total Holdings
1,949
Total Value
12219523741
Accession Number
0001089355-25-000039
Form Type
13F-HR
Manager Name
Td-Waterhouse-Canada
Data Enrichment
76% identified
1,489 identified460 unidentified

Holdings

1,949 positions • $12.2B total value
Manager:
Search and click to pin securities to the top
Page 2 of 98
BERKSHIRE HATHAWAY INC
Shares:293.1K
Value:$156.5M
% of Portfolio:1.3% ($156.5M/$12.2B)
TELUS CORP
Shares:10.8M
Value:$154.1M
% of Portfolio:1.3% ($154.1M/$12.2B)
NVIDIA CORP
Shares:1.3M
Value:$141.6M
% of Portfolio:1.2% ($141.6M/$12.2B)
Meta Platforms, Inc.
Shares:204.2K
Value:$119.5M
% of Portfolio:1.0% ($119.5M/$12.2B)
Alphabet Inc.
Shares:743.6K
Value:$118.0M
% of Portfolio:1.0% ($118.0M/$12.2B)
AGNICO EAGLE MINES LTD
Shares:1.1M
Value:$115.8M
% of Portfolio:0.9% ($115.8M/$12.2B)
CANADIAN PACIFIC KANSAS CITY LTD/CN
Shares:1.6M
Value:$115.5M
% of Portfolio:0.9% ($115.5M/$12.2B)
HOME DEPOT, INC.
Shares:284.0K
Value:$103.6M
% of Portfolio:0.8% ($103.6M/$12.2B)
SUN LIFE FINANCIAL INC
Shares:1.8M
Value:$100.4M
% of Portfolio:0.8% ($100.4M/$12.2B)
MCDONALDS CORP
Shares:314.2K
Value:$98.4M
% of Portfolio:0.8% ($98.4M/$12.2B)
Alphabet Inc.
Shares:621.1K
Value:$97.6M
% of Portfolio:0.8% ($97.6M/$12.2B)
Nutrien Ltd.
Shares:1.9M
Value:$91.6M
% of Portfolio:0.7% ($91.6M/$12.2B)
Walmart Inc.
Shares:1.0M
Value:$90.0M
% of Portfolio:0.7% ($90.0M/$12.2B)
Restaurant Brands International Inc.
Shares:1.2M
Value:$80.3M
% of Portfolio:0.7% ($80.3M/$12.2B)
UNITEDHEALTH GROUP INC
Shares:152.2K
Value:$79.5M
% of Portfolio:0.7% ($79.5M/$12.2B)
Palo Alto Networks Inc
Shares:463.7K
Value:$79.4M
% of Portfolio:0.6% ($79.4M/$12.2B)
PROCTER & GAMBLE Co
Shares:444.4K
Value:$75.6M
% of Portfolio:0.6% ($75.6M/$12.2B)
878742204
Shares:1.9M
Value:$68.2M
% of Portfolio:0.6% ($68.2M/$12.2B)
Brookfield Asset Management Ltd.
Shares:1.4M
Value:$66.2M
% of Portfolio:0.5% ($66.2M/$12.2B)
921943858
Shares:1.3M
Value:$65.3M
% of Portfolio:0.5% ($65.3M/$12.2B)