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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Royal Bank of Canada

Quarter ended Q1 2023 · Filed February 14, 2023 · Accession 0001140361-23-006880

Total Value
$348.91B
Positions
30,147
Other Managers
22
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1TORONTO DOMINION BK ONTTORO61,632,833$3.99B1.72%
2ROYAL BK CDA SUSTAINABL78008710238,501,921$3.62B1.56%
3ROYAL BK CDA SUSTAINABL78008710234,912,540$3.28B1.41%
4TORONTO DOMINION BK ONTTORO47,529,618$3.08B1.32%
5TORONTO DOMINION BK ONTTORO45,163,603$2.92B1.26%
6APPLE INCAAPL18,835,980$2.45B1.05%
7BANK MONTREAL QUE06367110124,874,986$2.25B0.97%
8BANK NOVA SCOTIA HALIFAX06414910744,463,817$2.18B0.94%
9MICROSOFT CORPMSFT8,264,022$1.98B0.85%
10ISHARES TR4642872005,074,917$1.95B0.84%
11ENBRIDGE INCENNPF49,359,730$1.93B0.83%
12CANADIAN NATL RY CO13637510215,789,254$1.88B0.81%
13CANADIAN PAC RY LTD13645T10024,718,667$1.84B0.79%
14BANK MONTREAL QUE06367110120,108,650$1.82B0.78%
15MICROSOFT CORPMSFT7,350,589$1.76B0.76%
16ENBRIDGE INCENNPF42,880,392$1.68B0.72%
17UNITEDHEALTH GROUP INCUNH3,150,599$1.67B0.72%
18MICROSOFT CORPMSFT6,961,036$1.67B0.72%
19BANK MONTREAL QUE06367110118,195,505$1.65B0.71%
20APPLE INCAAPL12,480,839$1.62B0.70%
21BANK NOVA SCOTIA HALIFAX06414910732,721,616$1.60B0.69%
22CANADIAN PAC RY LTD13645T10021,107,310$1.57B0.68%
23CANADIAN NAT RES LTD13638510128,237,886$1.57B0.67%
24APPLE INCAAPL11,938,098$1.55B0.67%
25ENBRIDGE INCENNPF38,674,280$1.51B0.65%
26PEPSICO INCPEP8,281,730$1.50B0.64%
27MICROSOFT CORPMSFT6,232,065$1.49B0.64%
28TC ENERGY CORPTRPRF37,160,847$1.48B0.64%
29SPDR S&P 500 ETF TRSPY3,700,800$1.42B0.61%
30BROOKFIELD CORP11271J10744,056,125$1.39B0.60%
31TELUS CORPORATIONTU70,107,701$1.35B0.58%
32VANGUARD TAX-MANAGED FDS92194385831,635,275$1.33B0.57%
33TAIWAN SEMICONDUCTOR MFG LTD87403910017,545,096$1.31B0.56%
34CANADIAN NATL RY CO13637510210,365,417$1.23B0.53%
35BANK NOVA SCOTIA HALIFAX06414910724,911,633$1.22B0.52%
36TC ENERGY CORPTRPRF30,348,549$1.21B0.52%
37CANADIAN NAT RES LTD13638510121,782,639$1.21B0.52%
38SCHWAB CHARLES CORPSCHW-PJ14,391,668$1.20B0.52%
39MANULIFE FINL CORP56501R10664,669,381$1.15B0.50%
40T-MOBILE US INCTMUSZ8,200,661$1.15B0.49%
41BROOKFIELD CORP11271J10736,124,752$1.14B0.49%
42UNITEDHEALTH GROUP INCUNH2,137,797$1.13B0.49%
43SUNCOR ENERGY INC NEWSU34,451,209$1.09B0.47%
44ISHARES TR4642876556,206,700$1.08B0.47%
45UNITEDHEALTH GROUP INCUNH2,020,801$1.07B0.46%
46CANADIAN IMPERIAL BK COMM TOCNDIF26,175,269$1.06B0.46%
47ALPHABET INCGOOG11,886,337$1.05B0.45%
48MANULIFE FINL CORP56501R10658,110,465$1.04B0.45%
49BCE INCBCPPF23,196,650$1.02B0.44%
50JPMORGAN CHASE & COVYLD7,532,633$1.01B0.43%
51ALPHABET INCGOOG11,205,083$994.2M0.43%
52FORTIVE CORPFTV14,962,534$961.3M0.41%
53VISA INCV4,605,805$956.9M0.41%
54DANAHER CORPORATION2358511023,598,476$955.1M0.41%
55CANADIAN IMPERIAL BK COMM TOCNDIF23,373,086$945.4M0.41%
56TC ENERGY CORPTRPRF23,183,824$924.1M0.40%
57JOHNSON & JOHNSONJNJ5,213,628$921.0M0.40%
58SUN LIFE FINANCIAL INC.SUNFF19,791,836$918.7M0.40%
59JPMORGAN CHASE & COVYLD6,827,673$915.6M0.39%
60HOME DEPOT INCHD2,888,025$912.2M0.39%
61BERKSHIRE HATHAWAY INC DELBRK-A2,911,330$899.3M0.39%
62COSTCO WHSL CORP NEW22160K1051,965,657$897.3M0.39%
63LAUDER ESTEE COS INC5184391043,575,675$887.2M0.38%
64EXXON MOBIL CORPXOM7,845,169$865.3M0.37%
65SPDR S&P 500 ETF TRSPY2,245,423$858.7M0.37%
66VISA INCV4,057,058$842.9M0.36%
67AMAZON COM INCAMZN9,910,871$832.5M0.36%
68THOMSON REUTERS CORP.TMSOF7,285,711$831.1M0.36%
69AUTOZONE INCAZO333,019$821.3M0.35%
70TELUS CORPORATIONTU42,524,839$821.2M0.35%
71AMAZON COM INCAMZN9,717,124$816.2M0.35%
72NUTRIEN LTDNTR11,175,597$816.2M0.35%
73ABBVIE INCABBV4,899,568$791.8M0.34%
74SUNCOR ENERGY INC NEWSU24,861,148$788.8M0.34%
75ISHARES TR4642875073,247,383$785.5M0.34%
76APPLE INCAAPL5,965,014$775.0M0.33%
77COCA COLA COKO12,060,415$767.2M0.33%
78CHEVRON CORP NEWCVX4,252,914$763.4M0.33%
79NUTRIEN LTDNTR10,224,801$746.7M0.32%
80AMGEN INCAMGN2,841,300$746.2M0.32%
81BCE INCBCPPF16,936,076$744.3M0.32%
82MCDONALDS CORPMCD2,788,408$734.8M0.32%
83STARBUCKS CORPSBUX7,242,171$718.4M0.31%
84APPLE INCAAPL5,527,504$718.2M0.31%
85BARRICK GOLD CORP06790110841,396,500$711.2M0.31%
86THOMSON REUTERS CORP.TMSOF6,124,005$698.6M0.30%
87CANADIAN IMPERIAL BK COMM TOCNDIF17,171,487$694.6M0.30%
88MANULIFE FINL CORP56501R10638,802,344$692.2M0.30%
89NEXTERA ENERGY INCNEE-PW8,278,991$692.1M0.30%
90CSX CORPCSX22,218,219$688.3M0.30%
91AMAZON COM INCAMZN8,091,425$679.7M0.29%
92ARAMARKARMK16,434,005$679.4M0.29%
93HONEYWELL INTL INC4385161063,157,288$676.6M0.29%
94MICROSOFT CORPMSFT2,808,153$673.5M0.29%
95INCYTE CORPINCY8,367,058$672.0M0.29%
96NVIDIA CORPORATIONNVDA4,438,184$648.6M0.28%
97ISHARES TR4642872001,685,216$647.5M0.28%
98VANGUARD INDEX FDS9229083631,826,188$641.6M0.28%
99HONEYWELL INTL INC4385161062,985,001$639.7M0.28%
100HOME DEPOT INCHD2,022,459$638.8M0.27%
101BROOKFIELD INFRAST PARTNERSG1625210120,610,551$638.7M0.27%
102MCDONALDS CORPMCD2,398,864$632.2M0.27%
103TELUS CORPORATIONTU32,649,619$630.5M0.27%
104ROGERS COMMUNICATIONS INCRCIAF13,456,884$630.3M0.27%
105SUN LIFE FINANCIAL INC.SUNFF13,366,857$620.5M0.27%
106JOHNSON & JOHNSONJNJ3,503,519$618.9M0.27%
107FORTIS INCFTRSF15,406,833$616.9M0.27%
108MICROSOFT CORPMSFT2,534,557$607.8M0.26%
109AMAZON COM INCAMZN7,208,205$605.5M0.26%
110PEMBINA PIPELINE CORPPPLOF17,804,941$604.5M0.26%
111FIRST REP BK SAN FRANCISCO C33616C1004,886,847$595.7M0.26%
112TEXAS INSTRS INC8825081043,600,196$594.8M0.26%
113JOHNSON & JOHNSONJNJ3,360,339$593.6M0.26%
114UNITEDHEALTH GROUP INCUNH1,113,438$590.3M0.25%
115SPDR S&P 500 ETF TRSPY1,543,341$590.2M0.25%
116MASTERCARD INCORPORATEDMA1,682,502$585.1M0.25%
117GENERAL DYNAMICS CORPGD2,346,186$582.1M0.25%
118SPDR S&P 500 ETF TRSPY1,519,000$580.9M0.25%
119AGNICO EAGLE MINES LTDAEM11,031,091$573.5M0.25%
120MORGAN STANLEYMS-PQ6,684,976$568.4M0.24%
121BERKSHIRE HATHAWAY INC DELBRK-A1,839,246$568.1M0.24%
122WASTE CONNECTIONS INCWCN4,285,154$568.0M0.24%
123CVS HEALTH CORPCVS6,017,518$560.8M0.24%
124RESTAURANT BRANDS INTL INC76131D1038,617,358$557.3M0.24%
125METLIFE INCMET-PF7,531,090$545.0M0.23%
126VANGUARD INDEX FDS9229087443,878,035$544.4M0.23%
127CISCO SYS INCCSCO11,309,024$538.8M0.23%
128SUN LIFE FINANCIAL INC.SUNFF11,540,525$535.7M0.23%
129BCE INCBCPPF12,174,181$535.1M0.23%
130ALPHABET INCGOOG6,020,216$534.2M0.23%
131EXXON MOBIL CORPXOM4,776,686$526.9M0.23%
132ALPHABET INCGOOG5,912,582$521.7M0.22%
133ISHARES TR4642878045,493,577$519.9M0.22%
134LOCKHEED MARTIN CORPLMT1,065,588$518.4M0.22%
135PEPSICO INCPEP2,846,650$514.3M0.22%
136MEDTRONIC PLCMDT6,552,532$509.3M0.22%
137EOG RES INCEOG3,927,420$508.7M0.22%
138DISNEY WALT CO2546871065,810,991$504.9M0.22%
139MERCK & CO INCMRK4,331,109$480.5M0.21%
140BLACKSTONE INCBX6,392,200$474.2M0.20%
141VANGUARD SCOTTSDALE FDS92206C8706,088,556$471.9M0.20%
142BARRICK GOLD CORP06790110827,424,688$471.2M0.20%
143ALPHABET INCGOOG5,299,124$467.5M0.20%
144FORTIS INCFTRSF11,577,914$463.6M0.20%
145GILEAD SCIENCES INCGILD5,348,975$459.2M0.20%
146BROOKFIELD INFRAST PARTNERSG1625210114,666,008$454.5M0.20%
147CVS HEALTH CORPCVS4,872,379$454.1M0.20%
148INTERNATIONAL BUSINESS MACHSINTR3,220,456$453.7M0.20%
149TORONTO DOMINION BK ONTTORO6,900,000$446.8M0.19%
150MERCK & CO INCMRK4,006,072$444.5M0.19%
151TRUIST FINL CORP89832Q10910,228,242$440.1M0.19%
152UNITEDHEALTH GROUP INCUNH826,018$437.9M0.19%
153BROOKFIELD CORP11271J10713,821,959$434.8M0.19%
154RESTAURANT BRANDS INTL INC76131D1036,723,912$434.8M0.19%
155BANK MONTREAL QUE0636711014,796,000$434.5M0.19%
156CENOVUS ENERGY INCCVE22,386,214$434.5M0.19%
157PEMBINA PIPELINE CORPPPLOF12,796,522$434.4M0.19%
158VANGUARD SPECIALIZED FUNDS9219088442,843,477$431.8M0.19%
159MAGNA INTL INC5592224017,685,318$431.8M0.19%
160ALPHABET INCGOOG4,887,490$431.2M0.19%
161XCEL ENERGY INCXELLL6,139,656$430.5M0.19%
162INVESCO QQQ TRIVZ1,575,100$419.4M0.18%
163BERKSHIRE HATHAWAY INC DELBRK-A1,354,985$418.6M0.18%
164JPMORGAN CHASE & COVYLD3,118,977$418.3M0.18%
165BANK AMERICA CORP06050510412,601,501$417.4M0.18%
166BANK NOVA SCOTIA HALIFAX0641491078,495,500$416.1M0.18%
167TECK RESOURCES LTDTCKRF10,952,184$414.2M0.18%
168INVESCO QQQ TRIVZ1,552,628$413.4M0.18%
169PROCTER AND GAMBLE CO7427181092,719,756$412.2M0.18%
170VERIZON COMMUNICATIONS INCVZ10,452,079$411.8M0.18%
171MASTERCARD INCORPORATEDMA1,173,625$408.1M0.18%
172ENBRIDGE INCENNPF10,420,000$407.4M0.18%
173SELECT SECTOR SPDR TR81369Y5064,639,500$405.8M0.17%
174WASTE CONNECTIONS INCWCN3,012,901$399.4M0.17%
175DUKE ENERGY CORP NEWDUKB3,875,551$399.1M0.17%
176PFIZER INCPFE7,718,823$395.5M0.17%
177THERMO FISHER SCIENTIFIC INCTMO715,681$394.1M0.17%
178AMGEN INCAMGN1,497,550$393.3M0.17%
179YUM CHINA HLDGS INCYUMC7,154,056$391.0M0.17%
180ISHARES TR4642876552,240,100$390.6M0.17%
181PEPSICO INCPEP2,146,450$387.8M0.17%
182VANGUARD INDEX FDS9229087692,021,682$386.5M0.17%
183LILLY ELI & COLLY1,051,705$384.8M0.17%
184ISHARES TR4642872001,001,348$384.7M0.17%
185FOMENTO ECONOMICO MEXICANO S3444191064,890,647$382.1M0.16%
186HOME DEPOT INCHD1,207,741$381.5M0.16%
187COCA COLA COKO5,968,942$379.7M0.16%
188ALPHABET INCGOOG4,221,431$374.6M0.16%
189MERCK & CO INCMRK3,372,482$374.2M0.16%
190INVESCO QQQ TRIVZ1,399,600$372.7M0.16%
191IMPERIAL OIL LTDIMO7,610,350$370.9M0.16%
192ECOLAB INCECL2,536,843$369.3M0.16%
193ISHARES TR46432F8425,970,043$368.0M0.16%
194SHAW COMMUNICATIONS INC82028K20012,774,908$367.7M0.16%
195VANGUARD INDEX FDS9229087361,723,484$367.3M0.16%
196SPDR SER TR78468R5562,687,500$365.2M0.16%
197MAGNA INTL INC5592224016,499,044$365.1M0.16%
198ISHARES TR46434V8787,264,599$363.5M0.16%
199PROCTER AND GAMBLE CO7427181092,379,156$360.6M0.16%
200VANGUARD INTL EQUITY INDEX F9220428589,244,971$360.4M0.15%
201STARBUCKS CORPSBUX3,624,504$359.6M0.15%
202CGI INCGIB4,158,697$358.2M0.15%
203ABBVIE INCABBV2,205,733$356.5M0.15%
204MEDTRONIC PLCMDT4,548,724$353.5M0.15%
205CANADIAN NAT RES LTD1363851016,296,612$349.7M0.15%
206US BANCORP DELUSB-PS7,995,983$348.7M0.15%
207COSTCO WHSL CORP NEW22160K105763,196$348.4M0.15%
208UNION PAC CORPUNP1,670,347$345.9M0.15%
209MASTERCARD INCORPORATEDMA993,755$345.6M0.15%
210ISHARES TR4642876141,609,077$344.7M0.15%
211BLACKROCK INCBLK483,655$342.7M0.15%
212ELEVANCE HEALTH INCELV664,306$340.8M0.15%
213CROWN CASTLE INCCCI2,476,349$335.9M0.14%
214PNC FINL SVCS GROUP INC6934751052,116,801$334.3M0.14%
215FIRST TR EXCH TRADED FD III33739E10819,682,835$330.7M0.14%
216AT&T INCT-PC17,828,536$328.2M0.14%
217CANADIAN NATL RY CO1363751022,748,472$326.7M0.14%
218HOME DEPOT INCHD1,032,568$326.1M0.14%
219BROADCOM INCAVGO579,722$324.1M0.14%
220WILLIAMS COS INC9694571009,803,683$322.5M0.14%
221VISA INCV1,548,034$321.6M0.14%
222SUNCOR ENERGY INC NEWSU10,107,645$320.7M0.14%
223BROADCOM INCAVGO567,150$317.1M0.14%
224COCA COLA COKO4,980,236$316.8M0.14%
225VISA INCV1,510,828$313.9M0.14%
226CANADIAN PAC RY LTD13645T1004,206,828$313.8M0.13%
227MARKETAXESS HLDGS INCMKTX1,120,785$312.6M0.13%
228INVESCO EXCHANGE TRADED FD TIVZ2,199,340$310.7M0.13%
229CHEVRON CORP NEWCVX1,724,153$309.5M0.13%
230SHOPIFY INCSHOP8,899,437$308.9M0.13%
231LINDE PLCLIN930,861$303.6M0.13%
232NVIDIA CORPORATIONNVDA2,065,958$301.9M0.13%
233UNION PAC CORPUNP1,444,147$299.0M0.13%
234US BANCORP DELUSB-PS6,856,971$299.0M0.13%
235CROWN CASTLE INCCCI2,197,905$298.1M0.13%
236PHILIP MORRIS INTL INC7181721092,944,084$298.0M0.13%
237FRANCO NEV CORPFNV2,160,173$294.8M0.13%
238SELECT SECTOR SPDR TR81369Y6058,562,500$292.8M0.13%
239MASTERCARD INCORPORATEDMA836,847$291.0M0.13%
240CISCO SYS INCCSCO6,091,618$290.2M0.12%
241AMAZON COM INCAMZN3,430,371$288.2M0.12%
242ALPHABET INCGOOG3,243,983$287.8M0.12%
243NVIDIA CORPORATIONNVDA1,960,612$286.5M0.12%
244THERMO FISHER SCIENTIFIC INCTMO515,617$283.9M0.12%
245SELECT SECTOR SPDR TR81369Y8032,275,155$283.1M0.12%
246PEMBINA PIPELINE CORPPPLOF8,277,990$281.0M0.12%
247CATERPILLAR INCCAT1,166,129$279.4M0.12%
248CINTAS CORPCTAS616,346$278.4M0.12%
249CANADIAN IMPERIAL BK COMM TOCNDIF6,804,000$275.2M0.12%
250ROGERS COMMUNICATIONS INCRCIAF5,862,899$274.6M0.12%
251TRANSALTA CORPTACPF30,546,248$274.0M0.12%
252PROCTER AND GAMBLE CO7427181091,807,410$273.9M0.12%
253PFIZER INCPFE5,294,246$271.3M0.12%
254ISHARES TR4642875981,757,575$266.5M0.11%
255ALPHABET INCGOOG3,018,519$266.3M0.11%
256ABBOTT LABSABLZF2,418,379$265.5M0.11%
257TEXAS INSTRS INC8825081041,598,047$264.0M0.11%
258ISHARES SILVER TRSLV11,966,900$263.5M0.11%
259TJX COS INC NEW8725401093,303,873$263.0M0.11%
260BROOKFIELD ASSET MANAGMT LTD1130041059,166,852$262.8M0.11%
261APPLE INCAAPL2,014,356$261.7M0.11%
262CONSTELLATION BRANDS INCSTZ1,128,102$261.4M0.11%
263SPDR SER TR78468R6632,858,172$261.4M0.11%
264SPDR S&P 500 ETF TRSPY681,533$260.6M0.11%
265APPLE INCAAPL2,002,800$260.2M0.11%
266LILLY ELI & COLLY707,759$258.9M0.11%
267ROYAL BK CDA SUSTAINABL7800871022,717,284$255.5M0.11%
268NETFLIX INCNFLX866,349$255.5M0.11%
269MICROSOFT CORPMSFT1,063,910$255.1M0.11%
270COSTCO WHSL CORP NEW22160K105556,496$254.0M0.11%
271DEERE & CODE588,361$252.3M0.11%
272JPMORGAN CHASE & COVYLD1,877,420$251.8M0.11%
273DANAHER CORPORATION235851102940,009$249.5M0.11%
274NVIDIA CORPORATIONNVDA1,707,103$249.5M0.11%
275VANGUARD CHARLOTTE FDS92203J4075,184,035$245.9M0.11%
276RESTAURANT BRANDS INTL INC76131D1033,771,912$243.9M0.10%
277MARATHON PETE CORPMARA2,088,705$243.1M0.10%
278CHEVRON CORP NEWCVX1,344,790$241.4M0.10%
279PRUDENTIAL FINL INCPUKPF2,416,087$240.3M0.10%
280JOHNSON & JOHNSONJNJ1,358,903$240.1M0.10%
281BROOKFIELD ASSET MANAGMT LTD1130041058,372,124$240.0M0.10%
282CHEVRON CORP NEWCVX1,333,289$239.3M0.10%
283BANK AMERICA CORP0605051047,203,366$238.6M0.10%
284ISHARES TR4642874572,920,676$237.1M0.10%
285T-MOBILE US INCTMUSZ1,656,862$232.0M0.10%
286UNITED PARCEL SERVICE INCUPS1,329,237$231.1M0.10%
287VANGUARD SCOTTSDALE FDS92206C4093,071,687$231.0M0.10%
288DIGITAL RLTY TR INC2538681032,301,337$230.8M0.10%
289META PLATFORMS INCMETA1,917,068$230.7M0.10%
290VANGUARD INDEX FDS9229086291,130,430$230.4M0.10%
291ISHARES TR46434V6214,596,923$229.8M0.10%
292AMAZON COM INCAMZN2,718,407$228.3M0.10%
293ABBVIE INCABBV1,405,835$227.2M0.10%
294PEPSICO INCPEP1,249,165$225.7M0.10%
295CISCO SYS INCCSCO4,730,506$225.4M0.10%
296TECK RESOURCES LTDTCKRF5,953,593$225.2M0.10%
297VANGUARD INDEX FDS9229085121,648,680$223.0M0.10%
298PFIZER INCPFE4,348,825$222.8M0.10%
299CLOROX CO DELCLX1,584,302$222.3M0.10%
300PEPSICO INCPEP1,229,455$222.1M0.10%
301ISHARES TR4642874653,368,002$221.1M0.10%
302FIRST TR VALUE LINE DIVID IN33734H1065,535,425$220.9M0.10%
303LOCKHEED MARTIN CORPLMT453,791$220.8M0.09%
304QUALCOMM INCQCOM1,988,940$218.7M0.09%
305BERKSHIRE HATHAWAY INC DELBRK-A705,155$217.8M0.09%
306SPDR S&P 500 ETF TRSPY569,200$217.7M0.09%
307SHOPIFY INCSHOP6,257,075$217.2M0.09%
308HCA HEALTHCARE INCHCA903,829$216.9M0.09%
309DOMINION ENERGY INCD3,518,218$215.7M0.09%
310BANK AMERICA CORP0605051046,505,068$215.4M0.09%
311MERCK & CO INCMRK1,940,333$215.3M0.09%
312MCDONALDS CORPMCD816,803$215.3M0.09%
313DANAHER CORPORATION235851102810,645$215.2M0.09%
314ANHEUSER BUSCH INBEV SA/NVBUDFF3,578,614$214.9M0.09%
315MICROSOFT CORPMSFT895,325$214.7M0.09%
316NVIDIA CORPORATIONNVDA1,462,696$213.8M0.09%
317RAYTHEON TECHNOLOGIES CORPRTX2,109,846$212.9M0.09%
318SELECT SECTOR SPDR TR81369Y2091,559,237$211.8M0.09%
319ISHARES TR4642876551,212,020$211.3M0.09%
320ADOBE SYSTEMS INCORPORATEDADBE627,395$211.1M0.09%
321ADOBE SYSTEMS INCORPORATEDADBE627,131$211.0M0.09%
322AMERICAN ELEC PWR CO INC0255371012,217,290$210.5M0.09%
323SCHWAB STRATEGIC TR8085248544,275,699$210.5M0.09%
324OPEN TEXT CORPOTEX7,075,086$209.7M0.09%
325ALPHABET INCGOOG2,369,717$209.1M0.09%
326THERMO FISHER SCIENTIFIC INCTMO378,506$208.4M0.09%
327MICROSOFT CORPMSFT868,400$208.3M0.09%
328RAYTHEON TECHNOLOGIES CORPRTX2,061,884$208.1M0.09%
329BERKSHIRE HATHAWAY INC DELBRK-A673,431$208.0M0.09%
330META PLATFORMS INCMETA1,728,463$208.0M0.09%
331SELECT SECTOR SPDR TR81369Y6056,067,300$207.5M0.09%
332VANGUARD INDEX FDS9229087511,129,922$207.4M0.09%
333CATERPILLAR INCCAT850,679$203.8M0.09%
334WALMART INCWMT1,433,093$203.2M0.09%
335J P MORGAN EXCHANGE TRADED F46641Q3323,716,538$202.5M0.09%
336THERMO FISHER SCIENTIFIC INCTMO366,822$202.0M0.09%
337DANAHER CORPORATION235851102756,094$200.7M0.09%
338VANGUARD SCOTTSDALE FDS92206C4092,661,724$200.1M0.09%
339NEXTERA ENERGY INCNEE-PW2,390,808$199.9M0.09%
340CONOCOPHILLIPSCOP1,692,023$199.7M0.09%
341STARBUCKS CORPSBUX2,012,088$199.6M0.09%
342NIKE INCNKE1,701,234$199.1M0.09%
343DISNEY WALT CO2546871062,287,638$198.8M0.09%
344WALMART INCWMT1,398,017$198.2M0.09%
345CGI INCGIB2,287,569$197.0M0.08%
346APPLE INCAAPL1,500,506$195.0M0.08%
347AMGEN INCAMGN741,800$194.8M0.08%
348NIKE INCNKE1,664,956$194.8M0.08%
349HARTFORD FINL SVCS GROUP INCHIG-PG2,554,486$193.7M0.08%
350SELECT SECTOR SPDR TR81369Y5062,208,358$193.2M0.08%
351DUKE ENERGY CORP NEWDUKB1,864,819$192.1M0.08%
352ABBOTT LABSABLZF1,748,405$192.0M0.08%
353ISHARES TR464287200495,790$190.5M0.08%
354WHEATON PRECIOUS METALS CORPWPM4,872,162$190.4M0.08%
355VANGUARD BD INDEX FDS9219378272,503,669$188.5M0.08%
356JPMORGAN CHASE & COVYLD1,400,400$187.8M0.08%
357ISHARES INC4642865095,725,000$187.4M0.08%
358ISHARES TR4642885882,017,355$187.1M0.08%
359XYLEM INCXYL1,687,982$186.6M0.08%
360WALMART INCWMT1,312,872$186.2M0.08%
361CITIGROUP INCC-PR4,115,556$186.1M0.08%
362COSTCO WHSL CORP NEW22160K105407,478$186.0M0.08%
363LINDE PLCLIN568,045$185.3M0.08%
364COCA COLA COKO2,911,767$185.2M0.08%
365MONDELEZ INTL INC6092071052,774,985$185.0M0.08%
366COCA COLA COKO2,901,821$184.6M0.08%
367SPDR SER TR78468R1016,384,137$184.4M0.08%
368PEMBINA PIPELINE CORPPPLOF5,425,000$184.2M0.08%
369METLIFE INCMET-PF2,544,297$184.1M0.08%
370MICROSOFT CORPMSFT766,162$183.7M0.08%
371SPDR DOW JONES INDL AVERAGE78467X109553,129$183.3M0.08%
372PROCTER AND GAMBLE CO7427181091,199,047$181.7M0.08%
373ISHARES TR4642876551,040,921$181.5M0.08%
374TFI INTL INC87241L1091,807,438$181.2M0.08%
375SERVICENOW INCNOW466,430$181.1M0.08%
376WISDOMTREE TRWT3,599,320$180.9M0.08%
377J P MORGAN EXCHANGE TRADED F46641Q8373,605,974$180.8M0.08%
378ISHARES TR4642885132,453,672$180.7M0.08%
379VANGUARD WHITEHALL FDS9219464061,654,940$179.1M0.08%
380PROCTER AND GAMBLE CO7427181091,179,604$178.8M0.08%
381COLGATE PALMOLIVE COCL2,268,155$178.7M0.08%
382NATIONAL RETAIL PROPERTIES INNN3,902,590$178.6M0.08%
383NEXTERA ENERGY INCNEE-PW2,130,274$178.1M0.08%
384VANGUARD INDEX FDS9229085532,156,727$177.9M0.08%
385SPDR S&P 500 ETF TRSPY464,479$177.6M0.08%
386SSGA ACTIVE ETF TR78467V6084,317,162$176.6M0.08%
387NUTRIEN LTDNTR2,409,460$176.0M0.08%
388COMCAST CORP NEWCCZ5,028,830$175.9M0.08%
389ENBRIDGE INCENNPF4,474,500$175.0M0.08%
390CVS HEALTH CORPCVS1,870,874$174.3M0.07%
391NORTHROP GRUMMAN CORPNOC317,921$173.5M0.07%
392UNITEDHEALTH GROUP INCUNH326,553$173.1M0.07%
393NOVO-NORDISK A SNONOF1,278,123$173.0M0.07%
394EMERSON ELEC COEMR1,793,275$172.3M0.07%
395EOG RES INCEOG1,325,743$171.7M0.07%
396MANULIFE FINL CORP56501R1069,600,000$171.3M0.07%
397GOLDMAN SACHS GROUP INCGSCE498,006$171.0M0.07%
398TJX COS INC NEW8725401092,143,526$170.6M0.07%
399SPDR SER TR78464A6982,902,400$170.5M0.07%
400PFIZER INCPFE3,271,803$167.6M0.07%
401NEXTERA ENERGY INCNEE-PW2,004,571$167.6M0.07%
402GILEAD SCIENCES INCGILD1,950,595$167.5M0.07%
403DEERE & CODE389,782$167.1M0.07%
404DANAHER CORPORATION235851102629,219$167.0M0.07%
405UBS GROUP AGUBS8,943,769$167.0M0.07%
406BERKSHIRE HATHAWAY INC DELBRK-A540,204$166.9M0.07%
407CONOCOPHILLIPSCOP1,410,762$166.5M0.07%
408BCE INCBCPPF3,776,000$166.0M0.07%
409FIRST TR EXCHANGE-TRADED FD33739Q4082,788,887$165.8M0.07%
410EVERSOURCE ENERGYES1,975,158$165.6M0.07%
411WELLS FARGO CO NEW9497461013,997,599$165.1M0.07%
412NETFLIX INCNFLX559,231$164.9M0.07%
413UNITEDHEALTH GROUP INCUNH310,411$164.6M0.07%
414AMERIPRISE FINL INC03076C106528,507$164.6M0.07%
415ISHARES TR4642872261,695,804$164.5M0.07%
416DOLLAR GEN CORP NEW256677105667,224$164.3M0.07%
417BRISTOL-MYERS SQUIBB COCELG-RI2,279,058$164.0M0.07%
418SALESFORCE INCCRM1,235,225$163.8M0.07%
419INVESCO QQQ TRIVZ612,432$163.1M0.07%
420HESS CORPHESM1,146,053$162.5M0.07%
421MCDONALDS CORPMCD615,427$162.2M0.07%
422MORGAN STANLEYMS-PQ1,904,688$161.9M0.07%
423ISHARES TR4642874652,464,650$161.8M0.07%
424CENOVUS ENERGY INCCVE8,274,125$160.6M0.07%
425SELECT SECTOR SPDR TR81369Y5061,835,000$160.5M0.07%
426CANADIAN NAT RES LTD1363851012,871,500$159.5M0.07%
427FORTIS INCFTRSF3,980,418$159.4M0.07%
428JPMORGAN CHASE & COVYLD1,185,000$158.9M0.07%
429CREDICORP LTDBAP1,169,718$158.7M0.07%
430ACCENTURE PLC IRELANDACN594,528$158.6M0.07%
431ADOBE SYSTEMS INCORPORATEDADBE469,689$158.1M0.07%
432PFIZER INCPFE3,083,218$158.0M0.07%
433FIRST HORIZON CORPORATIONFHN-PH6,422,483$157.4M0.07%
434CINCINNATI FINL CORP1720621011,527,312$156.4M0.07%
435VERIZON COMMUNICATIONS INCVZ3,957,830$155.9M0.07%
436SUN LIFE FINANCIAL INC.SUNFF3,350,000$155.5M0.07%
437WILLIAMS COS INC9694571004,723,657$155.4M0.07%
438FIFTH THIRD BANCORPFITBM4,725,867$155.1M0.07%
439SHOPIFY INCSHOP4,408,752$153.0M0.07%
440T-MOBILE US INCTMUSZ1,092,524$153.0M0.07%
441PHILIP MORRIS INTL INC7181721091,506,298$152.5M0.07%
442DR REDDYS LABS LTD2561352032,943,381$152.3M0.07%
443VERIZON COMMUNICATIONS INCVZ3,860,829$152.1M0.07%
444ROPER TECHNOLOGIES INCROP350,943$151.6M0.07%
445INTERCONTINENTAL EXCHANGE IN45866F1041,466,395$150.4M0.06%
446META PLATFORMS INCMETA1,249,868$150.4M0.06%
447CME GROUP INCCME890,700$149.8M0.06%
448ISHARES TR4642882811,767,173$149.5M0.06%
449PEPSICO INCPEP826,780$149.4M0.06%
450AMERICAN WTR WKS CO INC NEW030420103978,498$149.1M0.06%
451ALTRIA GROUP INCMO3,243,968$148.3M0.06%
452VANGUARD INDEX FDS922908637844,044$147.0M0.06%
453VANGUARD SCOTTSDALE FDS92206C4091,954,200$146.9M0.06%
454ASML HOLDING N VASMLF268,625$146.8M0.06%
455DISNEY WALT CO2546871061,689,351$146.8M0.06%
456KEYCORP4932671088,421,347$146.7M0.06%
457GENERAL MLS INC3703341041,748,904$146.6M0.06%
458WASTE CONNECTIONS INCWCN1,105,974$146.6M0.06%
459GOLDMAN SACHS GROUP INCGSCE426,139$146.3M0.06%
460ARES CAPITAL CORPARCC7,861,895$145.2M0.06%
461PROLOGIS INC.PLDGP1,279,516$144.2M0.06%
462CITIZENS FINL GROUP INCCIA3,634,899$143.1M0.06%
463UNITED PARCEL SERVICE INCUPS821,207$142.8M0.06%
464AT&T INCT-PC7,752,682$142.7M0.06%
465COMCAST CORP NEWCCZ4,079,016$142.6M0.06%
466TC ENERGY CORPTRPRF3,571,000$142.3M0.06%
467PROSHARES TR74348A4671,575,978$141.8M0.06%
468ISHARES TR46432F3391,241,371$141.5M0.06%
469LOCKHEED MARTIN CORPLMT290,118$141.1M0.06%
470TORONTO DOMINION BK ONTTORO2,178,562$141.1M0.06%
471TESLA INCTSLA1,142,255$140.7M0.06%
472SPDR GOLD TRGLD829,201$140.7M0.06%
473DUKE ENERGY CORP NEWDUKB1,365,021$140.6M0.06%
474TRANE TECHNOLOGIES PLCTT836,128$140.5M0.06%
475HOME DEPOT INCHD443,538$140.1M0.06%
476BARRICK GOLD CORP0679011088,132,785$139.7M0.06%
477TJX COS INC NEW8725401091,753,158$139.6M0.06%
478ISHARES TR4642873092,384,615$139.5M0.06%
479VISA INCV670,606$139.3M0.06%
480TEXAS INSTRS INC882508104842,702$139.2M0.06%
481FIRST TR EXCHANGE-TRADED FD33738D1015,211,919$139.1M0.06%
482ISHARES INC46434G1032,975,478$139.0M0.06%
483RYANAIR HOLDINGS PLCRYAOF1,856,936$138.8M0.06%
484ALIBABA GROUP HLDG LTDBBAAY1,573,376$138.6M0.06%
485ABBOTT LABSABLZF1,261,658$138.5M0.06%
486BROADCOM INCAVGO247,591$138.4M0.06%
487MASTERCARD INCORPORATEDMA396,901$138.0M0.06%
488TESLA INCTSLA1,119,200$137.9M0.06%
489GRANITE REAL ESTATE INVT TR3874371142,698,731$137.6M0.06%
490META PLATFORMS INCMETA1,142,533$137.5M0.06%
491PROLOGIS INC.PLDGP1,218,328$137.3M0.06%
492JPMORGAN CHASE & COVYLD1,023,000$137.2M0.06%
493ACCENTURE PLC IRELANDACN513,549$137.0M0.06%
494CENOVUS ENERGY INCCVE7,049,843$136.8M0.06%
495ABBVIE INCABBV844,804$136.5M0.06%
496ANALOG DEVICES INCADI830,261$136.2M0.06%
497PHILIP MORRIS INTL INC7181721091,344,528$136.1M0.06%
498SPDR SER TR78464A7631,087,536$136.1M0.06%
499CUMMINS INCCMI560,861$135.9M0.06%
500SELECT SECTOR SPDR TR81369Y5061,552,675$135.8M0.06%