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Financiere des Professionnels - Fonds d'investissement 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 1996846

$1.77B

disclosed book value

344

positions

8%

largest position share

Positions, as of 2026-06-30

top 100 of 344 · 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
1IEMGISHARES INC1.7M$142.1M8%
2IEFAISHARES TR963,753$93.1M5.2%
3NVDANVIDIA CORPORATION452,186$90.5M5.1%
4SPYSPDR S&P 500 ETF TR108,498$81.0M4.6%
5AAPLAPPLE INC200,705$58.1M3.3%
6MSFTMICROSOFT CORP125,601$46.9M2.6%
7QQQINVESCO QQQ TR53,450$39.4M2.2%
8GOOGALPHABET INC94,109$33.3M1.9%
9AMZNAMAZON COM INC138,545$33.0M1.9%
10IVVISHARES TR41,750$31.3M1.8%
11GOOGLALPHABET INC85,922$30.7M1.7%
12LQDISHARES TR268,700$29.3M1.7%
13AVGOBROADCOM INC74,819$28.3M1.6%
14EEMISHARES TR392,000$26.8M1.5%
15TSMTAIWAN SEMICONDUCTOR MFG LTD54,502$26.0M1.5%
16DGROISHARES TR318,100$24.1M1.4%
17IJRISHARES TR155,900$23.1M1.3%
18MUMICRON TECHNOLOGY INC18,754$21.6M1.2%
19JPMJPMORGAN CHASE & CO64,062$21.0M1.2%
20AMATAPPLIED MATLS INC27,712$20.0M1.1%
21VOOVANGUARD INDEX FDS27,000$18.5M1%
22LRCXLAM RESEARCH CORP38,711$16.8M0.9%
23CCITIGROUP INC107,929$15.1M0.9%
24EMXCISHARES INC MSCI EMRG CHN147,000$15.0M0.8%
25METAMETA PLATFORMS INC26,666$15.0M0.8%
26GEGE AEROSPACE39,850$14.9M0.8%
27ABBVABBVIE INC58,412$14.7M0.8%
28RSPINVESCO EXCHANGE TRADED FD T65,000$13.8M0.8%
29AMDADVANCED MICRO DEVICES INC22,530$13.1M0.7%
30JNJJOHNSON & JOHNSON51,324$13.0M0.7%
31VVISA INC36,333$12.5M0.7%
32EMBISHARES TR128,000$12.3M0.7%
33DEDEERE & CO18,906$12.0M0.7%
34MRKMERCK & CO INC93,117$12.0M0.7%
35MAMASTERCARD INCORPORATED21,481$11.0M0.6%
36MSMORGAN STANLEY50,759$10.6M0.6%
37EWYISHARES INC52,500$10.6M0.6%
38GSGOLDMAN SACHS GROUP INC10,120$10.2M0.6%
39RTXRTX CORPORATION53,271$10.1M0.6%
40GEVGE VERNOVA INC8,413$9.9M0.6%
41SPCXSPACE EXPLORATION TECHN CORP57,241$9.8M0.6%
42BACBANK AMERICA CORP167,251$9.5M0.5%
43LLYELI LILLY & CO7,894$9.5M0.5%
44FLCHFRANKLIN TEMPLETON ETF TR425,000$8.7M0.5%
45EXMOCEXXON MOBIL CORP62,487$8.5M0.5%
46CVXCHEVRON CORP NEW49,369$8.2M0.5%
47HWMHOWMET AEROSPACE INC30,286$8.1M0.5%
48CMICUMMINS INC11,414$8.1M0.5%
49CSCOCISCO SYS INC69,125$8.1M0.5%
50FCXFREEPORT-MCMORAN INC122,495$7.7M0.4%
51BABOEING CO35,353$7.7M0.4%
52SEAGATE TECHNOLOGY HLDNGS PL7,887$7.6M0.4%
53WMTWALMART INC66,758$7.6M0.4%
54APHAMPHENOL CORP37,547$6.6M0.4%
55HDHOME DEPOT INC17,798$6.3M0.4%
56TRANE TECHNOLOGIES PLC12,722$6.2M0.4%
57TJXTJX COS INC40,689$6.2M0.3%
58ORCLORACLE CORP41,734$6.1M0.3%
59DHRDANAHER CORPORATION31,310$6.0M0.3%
60VSTVISTRA CORP37,436$5.9M0.3%
61AXPAMERICAN EXPRESS CO17,500$5.9M0.3%
62MNSTMONSTER BEVERAGE CORP NEW61,046$5.9M0.3%
63BNDXVANGUARD CHARLOTTE FDS120,000$5.8M0.3%
64MMM3M CO34,729$5.6M0.3%
65NEMNEWMONT CORP59,658$5.6M0.3%
66SCZISHARES TR66,200$5.4M0.3%
67EWTISHARES INC50,000$5.4M0.3%
68SNOWSNOWFLAKE INC21,324$5.4M0.3%
69COFCAPITAL ONE FINL CORP26,850$5.4M0.3%
70LIILENNOX INTL INC9,400$5.4M0.3%
71NFLXNETFLIX INC74,805$5.3M0.3%
72ANETARISTA NETWORKS INC31,193$5.3M0.3%
73ROKROCKWELL AUTOMATION INC10,600$5.2M0.3%
74INVESCO LTD197,620$5.2M0.3%
75PGRPROGRESSIVE CORP23,710$5.2M0.3%
76EOGEOG RES INC38,759$5.0M0.3%
77SPOTIFY TECHNOLOGY S A10,688$4.9M0.3%
78ISRGINTUITIVE SURGICAL INC12,271$4.9M0.3%
79PFEPFIZER INC201,100$4.8M0.3%
80MTUMISHARES TR13,900$4.8M0.3%
81COSTCOSTCO WHSL CORP NEW4,946$4.6M0.3%
82ALLYALLY FINL INC99,616$4.6M0.3%
83DDOGDATADOG INC17,571$4.6M0.3%
84EATON CORP PLC10,631$4.5M0.3%
85MCDMCDONALDS CORP16,613$4.5M0.3%
86FWONKLIBERTY MEDIA CORP DEL47,094$4.5M0.3%
87IGFISHARES TR66,000$4.4M0.2%
88UNHUNITEDHEALTH GROUP INC10,500$4.4M0.2%
89CPCANADIAN PACIFIC KANSAS CITY50,300$4.4M0.2%
90AJGGALLAGHER ARTHUR J & CO18,854$4.3M0.2%
91ADIANALOG DEVICES INC10,801$4.3M0.2%
92CHRWC H ROBINSON WORLDWIDE INC22,450$4.2M0.2%
93STZCONSTELLATION BRANDS INC29,762$4.1M0.2%
94AVTAVNET INC45,646$4.1M0.2%
95ORLYOREILLY AUTOMOTIVE INC42,976$4.0M0.2%
96VICIVICI PPTYS INC147,517$3.9M0.2%
97ARESARES MANAGEMENT CORPORATION34,710$3.9M0.2%
98KLICKULICKE & SOFFA INDS INC28,127$3.8M0.2%
99DISDISNEY WALT CO38,536$3.7M0.2%
100BANCBANC OF CALIFORNIA INC181,307$3.7M0.2%

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.