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CIBC Asset Management Inc

Q2 2026 13F filing

Updated 38 days ago

1,428 disclosed positions worth $45.6B

Portfolio value
$45.6B
Total holdings
1,428
New positions
170
Closed positions
114
Increased
451
Decreased
642
Turnover
19.9%
Filed
2026-08-03

Full holdings

Every line item disclosed in Q2 2026

R

ROYAL BK CDA

-2.5%
Value
$2.1B
Shares
10.21M
% Port
4.64%
N

NVIDIA CORPORATION

-4.5%
Value
$1.6B
Shares
8.24M
% Port
3.61%
T

TORONTO DOMINION BK ONT

+5.9%
Value
$1.5B
Shares
12.66M
% Port
3.38%
A

APPLE INC

-3.1%
Value
$1.5B
Shares
5.06M
% Port
3.21%
O

BANK MONTREAL MEDIUM

-0.5%
Value
$1.2B
Shares
6.75M
% Port
2.63%
M

MICROSOFT CORP

-5.9%
Value
$967.6M
Shares
2.59M
% Port
2.12%
B
7.BNS

BANK NOVA SCOTIA B C

+22.3%
Value
$938M
Shares
10.76M
% Port
2.06%
C

CANADIAN IMPERIAL BANK OF CO

-13.6%
Value
$843.9M
Shares
7.34M
% Port
1.85%
A

AMAZON COM INC

-3.8%
Value
$820.7M
Shares
3.44M
% Port
1.80%
C
10.CNI

CANADIAN NATL RY CO

+87.0%
Value
$819.9M
Shares
6.86M
% Port
1.80%
A
11.AEM

AGNICO EAGLE MINES LTD

+13.2%
Value
$768M
Shares
4.93M
% Port
1.68%
E

ENBRIDGE INC

-3.1%
Value
$764M
Shares
14.08M
% Port
1.68%
G

ALPHABET INC

-4.4%
Value
$746M
Shares
2.09M
% Port
1.64%
M

MANULIFE FINL CORP

+24.5%
Value
$715.5M
Shares
17.58M
% Port
1.57%
B

BROOKFIELD CORP

+11.7%
Value
$672.3M
Shares
15.75M
% Port
1.47%
B
16.B

BARRICK MNG CORP

-13.8%
Value
$668M
Shares
18.11M
% Port
1.46%
C
17.CNQ

CANADIAN NAT RES LTD MED TER

+6.5%
Value
$662.9M
Shares
16.72M
% Port
1.45%
A
18.AVGO

BROADCOM INC

-6.7%
Value
$647.2M
Shares
1.71M
% Port
1.42%
V
19.VGES

VANGUARD INDEX FDS

-2.8%
Value
$630.5M
Shares
918.6K
% Port
1.38%
M
20.MU

MICRON TECHNOLOGY INC

+1.3%
Value
$619.5M
Shares
536.7K
% Port
1.36%
G

ALPHABET INC

-4.0%
Value
$612M
Shares
1.73M
% Port
1.34%
S
22.SU

SUNCOR ENERGY INC NEW

-4.6%
Value
$588.3M
Shares
10.90M
% Port
1.29%
T

TC ENERGY CORP

-5.2%
Value
$584.1M
Shares
8.82M
% Port
1.28%
S
24.SHOP

SHOPIFY INC

+0.1%
Value
$493.8M
Shares
4.31M
% Port
1.08%
C
25.CP

CANADIAN PACIFIC KANSAS CITY

-15.0%
Value
$488.3M
Shares
5.62M
% Port
1.07%
M
26.META

META PLATFORMS INC

-3.4%
Value
$469.9M
Shares
834.3K
% Port
1.03%
T
27.TSLA

TESLA INC

-2.1%
Value
$465.4M
Shares
1.11M
% Port
1.02%
A
28.AMD

ADVANCED MICRO DEVICES INC

-0.8%
Value
$454.1M
Shares
781.7K
% Port
1.00%
T

TECK RESOURCES LTD

+0.7%
Value
$403.5M
Shares
6.75M
% Port
0.88%
V
30.VGES

VANGUARD INTL EQUITY INDEX F

-2.8%
Value
$395.5M
Shares
4.72M
% Port
0.87%
C
31.CVE

CENOVUS ENERGY INC

-8.2%
Value
$379.2M
Shares
15.26M
% Port
0.83%
L
32.LLY

ELI LILLY & CO

-6.4%
Value
$339.4M
Shares
283.0K
% Port
0.74%
I
33.INTC

INTEL CORP

-2.8%
Value
$318.4M
Shares
2.28M
% Port
0.70%
S

SUN LIFE FINANCIAL INC.

+182.6%
Value
$300.9M
Shares
3.84M
% Port
0.66%
W
35.WPM

WHEATON PRECIOUS METALS CORP

-10.2%
Value
$281.5M
Shares
2.49M
% Port
0.62%
A
36.AMAT

APPLIED MATLS INC

-0.5%
Value
$278.8M
Shares
385.9K
% Port
0.61%
G
37.GFL

GFL ENVIRONMENTAL INC

+22.2%
Value
$275.6M
Shares
7.49M
% Port
0.60%
K

KINROSS GOLD CORP

-13.5%
Value
$275.3M
Shares
11.60M
% Port
0.60%
C
39.CCJ

CAMECO CORP

-27.1%
Value
$268.8M
Shares
2.63M
% Port
0.59%
L
40.LRCX

LAM RESEARCH CORP

+1.4%
Value
$267.1M
Shares
616.4K
% Port
0.59%
J

JPMORGAN CHASE & CO

-7.3%
Value
$257.5M
Shares
786.8K
% Port
0.56%
B
42.BAM

BROOKFIELD ASSET MANAGMT LTD

+7.9%
Value
$256.7M
Shares
5.70M
% Port
0.56%
W
43.WMT

WALMART INC

-0.4%
Value
$255.8M
Shares
2.26M
% Port
0.56%
J
44.JNJ

JOHNSON & JOHNSON

+10.9%
Value
$252.6M
Shares
994.8K
% Port
0.55%
B

BERKSHIRE HATHAWAY INC DEL

-2.1%
Value
$232.9M
Shares
465.6K
% Port
0.51%
H
46.HBM

HUDBAY MINERALS INC

-13.5%
Value
$209.4M
Shares
8.86M
% Port
0.46%
X
47.XOM

EXXON MOBIL CORP

+2.8%
Value
$197.9M
Shares
1.45M
% Port
0.43%
B

BROOKFIELD INFRASTRUCTURE PA

-20.2%
Value
$195.7M
Shares
5.37M
% Port
0.43%
C
49.CSCO

CISCO SYS INC

-4.4%
Value
$194.2M
Shares
1.65M
% Port
0.43%
U
50.UNH

UNITEDHEALTH GROUP INC

-2.4%
Value
$189M
Shares
454.8K
% Port
0.41%