Cibc Asset Management Inc

Institutional manager — quarterly 13F holdings, Q ending 2026-06-30

Reported value
$45.61B
Q ending 2026-06-30
Prior quarter
$40.92B
Q ending 2026-03-31
Change
+11.5% QoQ · +41.1% YoY
Positions
1,428
reported holdings

Largest positions

Top 100 of 1,428 reported positions by value, Q ending 2026-06-30. 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$2.12B10.2M
Nvidia CorporationNVDAShares$1.65B8.2M
Toronto Dominion Bk OntTDShares$1.54B12.7M
Apple IncAAPLShares$1.46B5.1M
Bank Montreal MediumBMOShares$1.20B6.7M
Microsoft CorpMSFTShares$967.6M2.6M
Bank Nova Scotia B CBNSShares$938.0M10.8M
Canadian Imperial Bank Of CoCMShares$843.9M7.3M
Amazon Com IncAMZNShares$820.7M3.4M
Canadian Natl Ry CoCNIShares$819.9M6.9M
Agnico Eagle Mines LtdAEMShares$768.0M4.9M
Enbridge IncENBShares$764.0M14.1M
Alphabet IncGOOGLShares$746.0M2.1M
Manulife Finl CorpMFCShares$715.5M17.6M
Brookfield CorpBNShares$672.3M15.7M
Barrick Mng CorpBShares$668.0M18.1M
Canadian Nat Res Ltd Med TerCNQShares$662.9M16.7M
Broadcom IncAVGOShares$647.2M1.7M
Vanguard Index FdsVOOShares$630.5M919K
Micron Technology IncMUShares$619.5M537K
Alphabet IncGOOGShares$612.0M1.7M
Suncor Energy Inc NewSUShares$588.3M10.9M
Tc Energy CorpTRPShares$584.1M8.8M
Shopify IncSHOPShares$493.8M4.3M
Canadian Pacific Kansas CityCPShares$488.3M5.6M
Meta Platforms IncMETAShares$469.9M834K
Tesla IncTSLAShares$465.4M1.1M
Advanced Micro Devices IncAMDShares$454.1M782K
Teck Resources LtdTECKShares$403.5M6.8M
Vanguard Intl Equity Index FVEUShares$395.5M4.7M
Cenovus Energy IncCVEShares$379.2M15.3M
Eli Lilly & CoLLYShares$339.4M283K
Intel CorpINTCShares$318.4M2.3M
Sun Life Financial Inc.SLFShares$300.9M3.8M
Wheaton Precious Metals CorpWPMShares$281.5M2.5M
Applied Matls IncAMATShares$278.8M386K
Gfl Environmental IncGFLShares$275.6M7.5M
Kinross Gold CorpKGCShares$275.3M11.6M
Cameco CorpCCJShares$268.8M2.6M
Lam Research CorpLRCXShares$267.1M616K
Jpmorgan Chase & CoJPMShares$257.5M787K
Brookfield Asset Managmt LtdBAMShares$256.7M5.7M
Walmart IncWMTShares$255.8M2.3M
Johnson & JohnsonJNJShares$252.6M995K
Berkshire Hathaway Inc DelBRK/BShares$232.9M466K
Hudbay Minerals IncHBMShares$209.4M8.9M
Exxon Mobil CorpXOMShares$197.9M1.4M
Brookfield Infrastructure PaShares$195.7M5.4M
Cisco Sys IncCSCOShares$194.2M1.7M
Unitedhealth Group IncUNHShares$189.0M455K
Abbvie IncABBVShares$188.1M747K
Costco Wholesale CorporationCOSTShares$184.0M197K
Visa IncVShares$177.0M516K
Franco Nev CorpFNVShares$173.7M833K
Kla CorpKLACShares$170.8M566K
Pembina Pipeline CorpPBAShares$156.5M3.4M
Telus CorporationTUShares$155.3M14.7M
Sandisk CorpSNDKShares$153.3M67K
Alamos Gold IncAGIShares$152.3M5.0M
Netflix Inc.NFLXShares$150.7M2.1M
Merck & Co IncMRKShares$148.5M1.2M
Gildan Activewear IncGILShares$144.4M2.8M
Amgen IncAMGNShares$143.0M395K
Celestica IncCLSShares$142.6M390K
Palo Alto Networks IncPANWShares$137.7M404K
Fortis IncFTSShares$135.7M2.4M
Caterpillar IncCATShares$135.3M127K
Magna Intl IncMGAShares$130.2M2.0M
Marvell Technology IncMRVLShares$129.4M434K
Texas Instrs IncTXNShares$128.9M433K
Palantir Technologies IncPLTRShares$127.5M1.1M
Firstservice Corp NewFSVShares$122.4M861K
Linde PlcShares$121.9M235K
Brookfield Renewable EnergyShares$120.1M3.5M
Mastercard IncorporatedMAShares$119.5M233K
Coca Cola CoKOShares$117.8M1.5M
Procter & Gamble CoPGShares$113.4M773K
Seagate Technology Hldngs PlShares$111.1M115K
Home Depot IncHDShares$110.1M312K
Pan Amern Silver CorpPAASShares$109.3M2.4M
Bank Of Amer CorpBACShares$108.1M1.9M
Western Digital CorpWDCShares$107.7M169K
Thermo Fisher Scientific IncTMOShares$107.6M215K
Qualcomm IncQCOMShares$101.6M550K
Chevron CorporationCVXShares$101.4M611K
Colliers Intl Group IncCIGIShares$100.0M1.1M
Pepsico IncPEPShares$98.4M727K
Nutrien LtdNTRShares$97.4M1.5M
Ge AerospaceGEShares$95.7M256K
Tfi International IncTFIIShares$93.6M649K
Rb Global IncRBAShares$91.9M775K
Ishares TrEFAShares$90.6M872K
Waste Connections IncWCNShares$90.1M537K
Medtronic PlcShares$89.7M1.1M
Analog Devices IncADIShares$88.8M223K
State Str Spdr S&P 500 Etf TSPYShares$88.2M118K
Boyd Group Services IncBGSIShares$87.9M928K
Verizon Communications IncVZShares$86.0M2.0M
Philip Morris Intl IncPMShares$85.8M474K
International Business MachsIBMShares$85.6M304K

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.