Evid Invest
Holders — by stockHoldings — by fund

TD Asset Management Inc

Everything this manager disclosed owning in US-listed stocks — its complete Form 13F portfolio · as of 2026-06-30 · filed with the SEC up to 45 days after quarter end · CIK 1056053

$115.43B

disclosed book value

1,216

positions

4.4%

largest position share

Positions, as of 2026-06-30

top 100 of 1,216 · 13F covers long US-listed positions only — cash, bonds, private and foreign stakes are not disclosed · PUT/CALL tags = options positions (share-equivalents), not shares held

#IssuerSharesValue% of book
1NVDANVIDIA CORPORATION25.4M$5.07B4.4%
2RYROYAL BK CDA23.0M$4.75B4.1%
3AAPLAPPLE INC13.1M$3.78B3.3%
4TDTORONTO DOMINION BK ONT25.5M$3.10B2.7%
5BMOBANK MONTREAL MEDIUM15.2M$2.69B2.3%
6MSFTMICROSOFT CORP6.7M$2.52B2.2%
7GOOGLALPHABET INC6.9M$2.46B2.1%
8CMCANADIAN IMPERIAL BANK OF CO19.9M$2.29B2%
9AVGOBROADCOM INC5.6M$2.12B1.8%
10SPYSTATE STR SPDR S&P 500 ETF T2.5M$1.85B1.6%
11ENBENBRIDGE INC31.3M$1.70B1.5%
12AMZNAMAZON COM INC6.7M$1.60B1.4%
13MFCMANULIFE FINL CORP31.3M$1.27B1.1%
14CPCANADIAN PACIFIC KANSAS CITY14.6M$1.26B1.1%
15JNJJOHNSON & JOHNSON4.9M$1.24B1.1%
16GOOGALPHABET INC3.5M$1.24B1.1%
17CNQCANADIAN NAT RES LTD MED TER31.2M$1.23B1.1%
18BNSBANK NOVA SCOTIA B C14.1M$1.22B1.1%
19BNBROOKFIELD CORP28.6M$1.22B1.1%
20LLYELI LILLY & CO1.0M$1.20B1%
21CNICANADIAN NATL RY CO9.9M$1.18B1%
22LRCXLAM RESEARCH CORP2.7M$1.18B1%
23JPMJPMORGAN CHASE & CO3.5M$1.15B1%
24METAMETA PLATFORMS INC2.0M$1.11B1%
25TRPTC ENERGY CORP16.1M$1.07B0.9%
26SHOPSHOPIFY INC9.3M$1.06B0.9%
27SUSUNCOR ENERGY INC NEW19.1M$1.03B0.9%
28AEMAGNICO EAGLE MINES LTD6.6M$1.02B0.9%
29MUMICRON TECHNOLOGY INC788,373$910.0M0.8%
30KLACKLA CORP2.9M$875.9M0.8%
31EFAISHARES TR8.3M$867.0M0.8%
32SLFSUN LIFE FINANCIAL INC.10.1M$792.8M0.7%
33AMDADVANCED MICRO DEVICES INC1.3M$780.2M0.7%
34VVISA INC2.3M$772.5M0.7%
35WPMWHEATON PRECIOUS METALS CORP6.0M$680.1M0.6%
36COSTCOSTCO WHOLESALE CORPORATION720,407$673.9M0.6%
37EXMOCEXXON MOBIL CORP4.8M$657.6M0.6%
38ABBVABBVIE INC2.6M$648.8M0.6%
39GEVGE VERNOVA INC546,673$642.3M0.6%
40BBARRICK MNG CORP17.4M$639.4M0.6%
41AMATAPPLIED MATLS INC877,158$634.2M0.5%
42WCNWASTE CONNECTIONS INC3.8M$633.9M0.5%
43TSLATESLA INC1.5M$631.3M0.5%
44QQQINVESCO QQQ TR780,539$574.8M0.5%
45FTSFORTIS INC9.7M$557.7M0.5%
46TJXTJX COS INC NEW3.6M$549.3M0.5%
47CATCATERPILLAR INC501,053$533.6M0.5%
48HWMHOWMET AEROSPACE INC1.8M$492.4M0.4%
49BAMBROOKFIELD ASSET MANAGMT LTD10.8M$485.9M0.4%
50INTCINTEL CORP3.4M$476.0M0.4%
51TXNTEXAS INSTRS INC1.6M$474.4M0.4%
52CCJCAMECO CORP4.6M$466.3M0.4%
53BNYBANK OF NY MELLON CORP3.1M$452.8M0.4%
54MSMORGAN STANLEY2.1M$433.4M0.4%
55EZUISHARES INC6.2M$432.6M0.4%
56HLTHILTON WORLDWIDE HLDGS INC1.3M$425.1M0.4%
57NTRNUTRIEN LTD6.7M$422.7M0.4%
58CWCURTISS WRIGHT CORP553,378$419.3M0.4%
59AXPAMERICAN EXPRESS CO1.2M$410.7M0.4%
60MAMASTERCARD INCORPORATED797,672$409.7M0.4%
61CSCOCISCO SYS INC3.4M$396.9M0.3%
62HDHOME DEPOT INC1.1M$376.9M0.3%
63CVECENOVUS ENERGY INC14.2M$351.7M0.3%
64IMOIMPERIAL OIL LTD3.1M$343.6M0.3%
65THOMSON REUTERS CORP4.2M$342.2M0.3%
66GLWCORNING INC1.3M$340.5M0.3%
67BRK/BBERKSHIRE HATHAWAY INC DEL677,218$338.9M0.3%
68UNHUNITEDHEALTH GROUP INC812,012$337.5M0.3%
69GEGE AEROSPACE901,539$336.9M0.3%
70FNVFRANCO NEV CORP1.6M$329.9M0.3%
71CMICUMMINS INC459,148$327.5M0.3%
72PEPPEPSICO INC2.4M$322.0M0.3%
73MCKMCKESSON CORP425,457$321.5M0.3%
74GSGOLDMAN SACHS GROUP INC315,620$319.2M0.3%
75IBKRINTERACTIVE BROKERS GROUP IN3.7M$317.9M0.3%
76CLCOLGATE PALMOLIVE CO3.3M$306.6M0.3%
77ETRENTERGY CORP NEW2.6M$303.9M0.3%
78ASTRAZENECA PLC1.6M$303.7M0.3%
79QSRRESTAURANT BRANDS INTL INC4.2M$301.6M0.3%
80MRKMERCK & CO INC2.3M$300.0M0.3%
81FCXFREEPORT MCMORAN INC4.7M$294.4M0.3%
82LNGCHENIERE ENERGY INC1.2M$291.9M0.3%
83AEPAMERICAN ELEC PWR CO INC2.1M$289.6M0.3%
84TUTELUS CORPORATION27.3M$289.0M0.3%
85EWJISHARES INC3.1M$285.2M0.2%
86PBAPEMBINA PIPELINE CORP5.9M$275.0M0.2%
87SEAGATE TECHNOLOGY HLDNGS PL283,546$273.6M0.2%
88EMAEMERA INC5.1M$269.8M0.2%
89WSTWEST PHARMACEUTICAL SVSC INC731,054$262.4M0.2%
90WMTWALMART INC2.3M$262.2M0.2%
91ANETARISTA NETWORKS INC1.5M$260.1M0.2%
92BROOKFIELD INFRASTRUCTURE PA7.1M$258.6M0.2%
93QCOMQUALCOMM INC1.4M$255.1M0.2%
94GILDGILEAD SCIENCES INC2.0M$249.1M0.2%
95TRANE TECHNOLOGIES PLC505,476$248.3M0.2%
96APHAMPHENOL CORP1.4M$242.1M0.2%
97EATON CORP PLC564,332$240.5M0.2%
98NFLXNETFLIX INC.3.3M$238.3M0.2%
99MNSTMONSTER BEVERAGE CORP NEW2.4M$233.6M0.2%
100ADIANALOG DEVICES INC554,715$220.3M0.2%

Source: SEC Form 13F-HR, reporting period 2026-06-30. Values are the manager's filed June-30-style quarter-end marks, not live prices. Research, not investment advice.

EvidInvest is an independent research and information tool. Figures are calculated from public SEC filings and third-party market data and are provided for informational and educational purposes only. EvidInvest does not provide investment advice, brokerage, or financial services, and is not affiliated with any company it covers. Verify all figures against primary sources before making any decision.
TD Asset Management Inc — 13F Holdings & Portfolio | EvidInvest | EvidInvest