Cibc Asset Management Inc

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$40.92B
Q ending 2026-03-31
Prior quarter
$41.42B
Q ending 2025-12-31
Change
-1.2% QoQ · +35.8% YoY
Positions
1,372
reported holdings

Largest positions

Top 100 of 1,372 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Royal Bk CdaRYShares$1.69B10.5M
Nvidia CorporationNVDAShares$1.51B8.6M
Apple IncAAPLShares$1.33B5.2M
Toronto Dominion Bk OntTDShares$1.12B12.0M
Microsoft CorpMSFTShares$1.02B2.8M
Bank Montreal MediumBMOShares$920.5M6.8M
Agnico Eagle Mines LtdAEMShares$884.9M4.4M
Barrick Mng CorpBShares$859.7M21.0M
Canadian Imperial Bank Of CoCMShares$802.4M8.5M
Enbridge IncENBShares$786.7M14.5M
Canadian Nat Res Ltd Med TerCNQShares$766.4M15.7M
Suncor Energy Inc NewSUShares$756.8M11.4M
Amazon Com IncAMZNShares$745.1M3.6M
Alphabet IncGOOGLShares$628.1M2.2M
Bank Nova Scotia B CBNSShares$611.5M8.8M
Tc Energy CorpTRPShares$581.7M9.3M
Brookfield CorpBNShares$571.0M14.1M
Broadcom IncAVGOShares$568.1M1.8M
Vanguard Index FdsVOOShares$564.5M945K
Canadian Pacific Kansas CityCPShares$521.5M6.6M
Alphabet IncGOOGShares$517.5M1.8M
Shopify IncSHOPShares$511.1M4.3M
Meta Platforms IncMETAShares$494.4M864K
Manulife Finl CorpMFCShares$487.7M14.1M
Cenovus Energy IncCVEShares$441.2M16.6M
Tesla IncTSLAShares$420.4M1.1M
Kinross Gold CorpKGCShares$409.9M13.4M
Cameco CorpCCJShares$392.4M3.6M
Canadian Natl Ry CoCNIShares$377.1M3.7M
Wheaton Precious Metals CorpWPMShares$364.9M2.8M
Vanguard Intl Equity Index FVEUShares$364.8M4.9M
Teck Resources LtdTECKShares$347.9M6.7M
Walmart IncWMTShares$281.9M2.3M
Alamos Gold IncAGIShares$280.0M6.3M
Eli Lilly & CoLLYShares$278.1M302K
Gfl Environmental IncGFLShares$255.5M6.1M
Pembina Pipeline CorpPBAShares$253.1M5.7M
Jpmorgan Chase & CoJPMShares$249.5M848K
Brookfield Infrastructure PaShares$242.0M6.7M
Exxon Mobil CorpXOMShares$239.0M1.4M
Brookfield Asset Managmt LtdBAMShares$235.4M5.3M
Berkshire Hathaway Inc DelBRK/BShares$227.8M476K
Johnson & JohnsonJNJShares$219.2M897K
Hudbay Minerals IncHBMShares$214.1M10.2M
Netflix Inc.NFLXShares$208.7M2.2M
Costco Wholesale CorporationCOSTShares$208.0M209K
Telus CorporationTUShares$200.5M15.6M
Micron Technology IncMUShares$179.0M530K
Visa IncVShares$173.7M575K
Advanced Micro Devices IncAMDShares$160.2M788K
Palantir Technologies IncPLTRShares$158.7M1.1M
Waste Connections IncWCNShares$158.2M972K
Abbvie IncABBVShares$152.3M700K
Franco Nev CorpFNVShares$150.3M608K
Fortis IncFTSShares$147.1M2.6M
Celestica IncCLSShares$146.8M521K
Linde PlcShares$142.1M287K
Boyd Group Services IncBGSIShares$136.3M1.1M
Amgen IncAMGNShares$134.3M382K
Cisco Sys IncCSCOShares$134.2M1.7M
Applied Matls IncAMATShares$132.4M388K
Chevron CorporationCVXShares$131.4M635K
Lam Research CorpLRCXShares$129.8M608K
Brookfield Renewable EnergyShares$126.6M3.9M
Unitedhealth Group IncUNHShares$126.0M466K
Colliers Intl Group IncCIGIShares$116.7M1.1M
Thermo Fisher Scientific IncTMOShares$116.4M237K
Mastercard IncorporatedMAShares$112.7M226K
Pepsico IncPEPShares$111.2M716K
Coca Cola CoKOShares$107.2M1.4M
Ishares TrEFAShares$105.9M1.1M
Bank America CorpBACShares$105.1M2.2M
Procter & Gamble CoPGShares$104.7M725K
Intel CorpINTCShares$103.5M2.3M
Rb Global IncRBAShares$102.5M1.1M
Mcdonalds CorpMCDShares$101.0M325K
Firstservice Corp NewFSVShares$100.2M722K
Pan Amern Silver CorpPAASShares$98.6M1.8M
State Str Spdr S&P 500 Etf TSPYShares$98.3M151K
Medtronic PlcShares$97.5M1.1M
Restaurant Brands Intl IncQSRShares$95.2M1.3M
Intuitive Surgical IncISRGShares$92.3M200K
Verizon Communications IncVZShares$91.3M1.8M
Home Depot IncHDShares$90.8M276K
Merck & Co IncMRKShares$89.4M743K
Equinox Gold CorpEQXShares$88.8M6.2M
Thomson Reuters CorpTRI4EURShares$88.6M981K
Cae IncCAEShares$87.8M3.3M
Caterpillar IncCATShares$85.7M121K
Sun Life Financial Inc.SLFShares$84.9M1.4M
Philip Morris Intl IncPMShares$84.0M508K
Kla CorpKLACShares$81.5M55K
Goldman Sachs Group IncGSShares$78.1M92K
Invesco Exch Traded Fd Tr IiBKLNShares$77.6M3.8M
Honeywell Intl IncHONGBPShares$76.8M340K
Texas Instrs IncTXNShares$76.8M395K
Descartes Sys Group IncDSGXShares$76.7M1.1M
Gilead Sciences IncGILDShares$72.4M520K
Analog Devices IncADIShares$72.3M227K
T-Mobile Us IncTMUSShares$72.1M343K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.