TD Asset Management Inc

Reported US equity positions for Q1 2026 — $123.2B across 1,702 positions.

← All managers CIK 1056053 · Q1 2026 · showing the largest 60
HoldingReported valueShare of portfolioShares
NVDA NVIDIA Corporation $5.1B 4.1% 29,088,598
RY Royal Bank Of Canada $4.9B 4.0% 30,421,111
AAPL Apple Inc. $4.2B 3.4% 16,375,214
TD The Toronto Dominion Bank $3.5B 2.8% 37,654,650
MSFT Microsoft Corporation $3.2B 2.6% 8,755,159
BMO Bank Of Montreal $2.6B 2.1% 19,086,601
GOOGL Alphabet Inc. $2.2B 1.8% 7,650,121
ENB Enbridge Inc $2.1B 1.7% 39,677,169
CM Canadian Imperial Bank of Commerce $2.1B 1.7% 22,617,569
AVGO Broadcom Inc. $2.0B 1.7% 6,587,250
AEM Agnico Eagle Mines Limited $2.0B 1.6% 9,764,366
CRC California Resources Corporation $1.9B 1.6% 39,940,897
SPY State Street SPDR S&P 500 ETF Trust $1.9B 1.5% 2,848,742
SU Suncor Energy Inc. $1.7B 1.4% 25,497,252
AMZN Amazon.com, Inc. $1.6B 1.3% 7,796,267
CP Canadian Pacific Kansas City Limited $1.5B 1.2% 18,829,813
BN Brookfield Corporation Class A Limited Voting Shares $1.5B 1.2% 36,208,452
META Meta Platforms, Inc. $1.4B 1.2% 2,493,371
MFC Manulife Financial Corporation $1.4B 1.1% 40,746,302
TRP TC Energy Corporation $1.4B 1.1% 21,682,113
BNS Bank Nova Scotia Halifax Pfd 3 Ordinary Shares $1.3B 1.1% 19,181,963
JPM JP Morgan Chase & Co. $1.3B 1.0% 4,376,725
GOOG Alphabet Inc. - Class C Capital Stock $1.3B 1.0% 4,379,038
CNR Core Natural Resources, Inc. $1.2B 1.0% 12,131,313
SHOP Shopify Inc. - Class A Subordinate Voting Shares $1.1B 0.9% 9,574,621
JNJ Johnson & Johnson $1.1B 0.9% 4,565,498
LLY Eli Lilly and Company $1.1B 0.9% 1,190,111
WPM Wheaton Precious Metals Corp Common Shares (Canada) $965.3M 0.8% 7,377,168
XOM ExxonMobil Holdings Corporation $950.3M 0.8% 5,600,959
V Visa Inc. $945.3M 0.8% 3,127,726
COST Costco Wholesale Corporation $933.9M 0.8% 937,230
EFA iShares MSCI EAFE ETF $888.6M 0.7% 9,148,830
B Barrick Mining Corporation $881.4M 0.7% 21,635,309
SLF Sun Life Financial Inc. $875.7M 0.7% 14,022,998
ABBV AbbVie Inc. $852.6M 0.7% 3,920,076
FTS Fortis Inc. $747.1M 0.6% 13,434,588
NTR Nutrien Ltd. $696.9M 0.6% 9,260,735
TJX The TJX Companies, Inc. $682.3M 0.6% 4,272,248
LRCX Lam Research Corporation $653.1M 0.5% 3,056,874
WCN Waste Connections, Inc. $652.8M 0.5% 4,030,266
GEV GE Vernova Inc. $646.6M 0.5% 740,736
MCK McKesson Corporation $614.8M 0.5% 710,446
BAM Brookfield Asset Management Inc Class A Limited Voting Shares $594.1M 0.5% 13,404,643
TSLA Tesla, Inc. $572.2M 0.5% 1,539,123
QQQ Invesco QQQ Trust, Series 1 $555.6M 0.5% 962,575
KLAC KLA Corporation $549.3M 0.4% 373,087
CCO Clear Channel Outdoor Holdings, Inc. $519.2M 0.4% 4,789,688
AXP American Express Company $513.6M 0.4% 1,698,093
HWM Howmet Aerospace Inc. $492.8M 0.4% 2,138,164
CW Curtiss-Wright Corporation $483.8M 0.4% 710,234
T AT&T Inc. $480.1M 0.4% 37,471,452
FNV Franco-Nevada Corporation $478.2M 0.4% 1,937,392
GILD Gilead Sciences, Inc. $470.0M 0.4% 3,372,079
TRI4EUR Thomson Reuters Corp $467.8M 0.4% 5,199,592
HD The Home Depot, Inc. $467.6M 0.4% 1,421,771
HLT Hilton Worldwide Holdings Inc. $461.5M 0.4% 1,517,759
LNG Cheniere Energy, Inc. $457.1M 0.4% 1,610,928
APH Amphenol Corporation $456.0M 0.4% 3,608,908
CVE Cenovus Energy Inc $454.5M 0.4% 17,178,839
IMO Imperial Oil Limited $449.4M 0.4% 3,442,216

Long US equity positions only, as filed. 13F does not cover short positions, cash, bonds or non-US listings, so this is not the whole portfolio.

What changed last quarter

HoldingChangeNowWasShares
NVDA NVIDIA Corporation Add $5.1B $5.2B +4%
RY Royal Bank Of Canada Trim $4.9B $5.3B -2%
AAPL Apple Inc. Trim $4.2B $4.6B -4%
MSFT Microsoft Corporation Trim $3.2B $4.5B -6%
BMO Bank Of Montreal Trim $2.6B $2.5B -1%
GOOGL Alphabet Inc. Add $2.2B $2.2B +9%
ENB Enbridge Inc Add $2.1B $1.9B +1%
AVGO Broadcom Inc. Trim $2.0B $2.4B -7%
AEM Agnico Eagle Mines Limited Add $2.0B $1.6B +1%
CRC California Resources Corporation Add $1.9B $1.3B +5%
SPY State Street SPDR S&P 500 ETF Trust Add $1.9B $1.9B +3%
SU Suncor Energy Inc. Add $1.7B $1.0B +11%
AMZN Amazon.com, Inc. Trim $1.6B $1.9B -6%
CP Canadian Pacific Kansas City Limited Add $1.5B $1.4B +1%
BN Brookfield Corporation Class A Limited Voting Shares Add $1.5B $1.6B +1%
META Meta Platforms, Inc. Trim $1.4B $1.9B -13%
MFC Manulife Financial Corporation Add $1.4B $1.4B +7%
TRP TC Energy Corporation Add $1.4B $1.2B +4%
BNS Bank Nova Scotia Halifax Pfd 3 Ordinary Shares Add $1.3B $1.4B +3%
JPM JP Morgan Chase & Co. Trim $1.3B $1.6B -11%
GOOG Alphabet Inc. - Class C Capital Stock Add $1.3B $1.3B +3%
CNR Core Natural Resources, Inc. Add $1.2B $1.1B +7%
SHOP Shopify Inc. - Class A Subordinate Voting Shares Add $1.1B $1.4B +10%
JNJ Johnson & Johnson Add $1.1B $322.5M +193%
WPM Wheaton Precious Metals Corp Common Shares (Canada) Add $965.3M $857.6M +1%
XOM ExxonMobil Holdings Corporation Add $950.3M $576.0M +17%
V Visa Inc. Trim $945.3M $1.1B -1%
COST Costco Wholesale Corporation Add $933.9M $648.7M +25%
EFA iShares MSCI EAFE ETF Add $888.6M $816.3M +8%
B Barrick Mining Corporation Add $881.4M $889.6M +6%
SLF Sun Life Financial Inc. Trim $875.7M $959.1M -9%
ABBV AbbVie Inc. Trim $852.6M $950.6M -6%
NTR Nutrien Ltd. Add $696.9M $551.8M +4%
TJX The TJX Companies, Inc. Trim $682.3M $687.0M -4%
LRCX Lam Research Corporation Add $653.1M $268.8M +95%
WCN Waste Connections, Inc. Add $652.8M $675.2M +5%
GEV GE Vernova Inc. Trim $646.6M $493.5M -2%
MCK McKesson Corporation Trim $614.8M $618.3M -6%
BAM Brookfield Asset Management Inc Class A Limited Voting Shares Trim $594.1M $827.1M -15%
TSLA Tesla, Inc. Add $572.2M $670.6M +3%

New and exited positions are only shown for managers whose entire filed portfolio fits inside the positions stored here. For a manager filing more than that, a holding leaving the stored set is indistinguishable from a holding being sold, so those are reported as adds and trims only.

What a 13F is

Any institutional manager exercising discretion over more than $100 million in US-listed equities must file a Form 13F with the SEC within 45 days of each quarter end, listing what they held on the last day of that quarter. The threshold was set in 1975 and has never been raised, so the filer population now runs to several thousand.

The four things it does not tell you

Why the biggest filers are not the interesting ones

The largest managers by reported value are index providers — they hold nearly everything, in proportion to the indices they track, because clients asked them to. Reading their filings for conviction is a category error. The filings worth attention are concentrated ones, where a small number of positions make up most of the portfolio, since that reflects a decision rather than a mandate.

The share-of-portfolio column is the one to read for this. A position that is 15% of a fund says something; the same dollar amount at 0.2% of an index tracker does not.

Where this comes from

The SEC's own quarterly Form 13F structured data sets, parsed here rather than bought from a vendor. Holdings are identified in the filings by CUSIP, and the mapping from CUSIP to ticker is the awkward part — that identifier is licensed rather than public, so the mapping is resolved through OpenFIGI and built up over time. Around 95% of reported value currently sits on a resolved ticker; the rest shows its CUSIP.

The rest of the section is on the Markets overview — including insider transactions, which are the same idea at the individual level, and the correlation finder, where each ticker's page carries its institutional ownership.