Federation des caisses Desjardins du Quebec
Q2 2026 13F filing
Updated 27 days ago6,190 disclosed positions worth $32.7B
Full holdings
Every line item disclosed in Q2 2026
| # | Stock | Value | Shares | % Portfolio | Change |
|---|---|---|---|---|---|
| 1 | R RYLBF ROYAL BK CDA | $2.6B | 12.52M | 7.89% | — |
| 2 | T TDBCP TORONTO DOMINION BK ONT | $1.1B | 9.45M | 3.49% | — |
| 3 | B BNS BANK NOVA SCOTIA B C | $601.9M | 6.95M | 1.84% | — |
| 4 | S SU SUNCOR ENERGY INC NEW | $573.1M | 10.69M | 1.75% | — |
| 5 | O OILD BANK MONTREAL MEDIUM | $535.4M | 3.04M | 1.64% | — |
| 6 | B BXDIF BROOKFIELD CORP | $531.4M | 12.50M | 1.62% | — |
| 7 | M MNUFF MANULIFE FINL CORP | $465.3M | 11.52M | 1.42% | — |
| 8 | N NVDA NVIDIA CORPORATION | $464.7M | 2.32M | 1.42% | — |
| 9 | T TRPRF TC ENERGY CORP | $458.3M | 6.94M | 1.40% | — |
| 10 | C CNI CANADIAN NATL RY CO | $439.2M | 3.70M | 1.34% | — |
| 11 | P PSLV SPROTT ASSET MANAGEMENT LP | $427.4M | 22.70M | 1.31% | — |
| 12 | E EBBGF ENBRIDGE INC | $424.3M | 7.85M | 1.30% | — |
| 13 | C CP CANADIAN PACIFIC KANSAS CITY | $409M | 4.74M | 1.25% | — |
| 14 | S SUNFF SUN LIFE FINANCIAL INC. | $403.8M | 5.17M | 1.23% | — |
| 15 | A AAPL APPLE INC | $397.4M | 1.37M | 1.21% | — |
| 16 | M MSFT MICROSOFT CORP | $393.9M | 1.06M | 1.20% | — |
| 17 | S SHOP SHOPIFY INC | $376.1M | 3.30M | 1.15% | — |
| 18 | C CNDIF CANADIAN IMPERIAL BANK OF CO | $360.6M | 3.15M | 1.10% | — |
| 19 | A AAPL APPLE INC | $322.6M | 1.11M | 0.99% | — |
| 20 | G GIB CGI INC | $315.3M | 4.94M | 0.96% | — |
| 21 | A AMZN AMAZON COM INC | $299.1M | 1.25M | 0.91% | — |
| 22 | G GOOGN ALPHABET INC | $298.8M | 836.2K | 0.91% | — |
| 23 | M MSFT MICROSOFT CORP | $275M | 737.3K | 0.84% | — |
| 24 | G GOOGN ALPHABET INC | $258.9M | 724.5K | 0.79% | — |
| 25 | N NVDA NVIDIA CORPORATION | $255.8M | 1.28M | 0.78% | — |
| 26 | T TFII TFI INTERNATIONAL INC | $254.6M | 1.79M | 0.78% | — |
| 27 | G GOOGN ALPHABET INC | $235.6M | 666.7K | 0.72% | — |
| 28 | A AMZN AMAZON COM INC | $227.8M | 955.6K | 0.70% | — |
| 29 | B BRK-A BERKSHIRE HATHAWAY INC DEL | $225.4M | 450.4K | 0.69% | — |
| 30 | B BCPPF BCE INC | $217.9M | 10.14M | 0.67% | — |
| 31 | N NTR NUTRIEN LTD | $210M | 3.35M | 0.64% | — |
| 32 | T TU TELUS CORPORATION | $202.5M | 19.19M | 0.62% | — |
| 33 | F FTRSF FORTIS INC | $198.8M | 3.48M | 0.61% | — |
| 34 | V VGES VANGUARD INDEX FDS | $194M | 282.7K | 0.59% | — |
| 35 | E ETHA ISHARES INC | $180.7M | 891.4K | 0.55% | — |
| 36 | J JNJ JOHNSON & JOHNSON | $176.9M | 696.5K | 0.54% | — |
| 37 | P PHYS SPROTT ASSET MANAGEMENT LP | $176.6M | 5.87M | 0.54% | — |
| 38 | W WPM WHEATON PRECIOUS METALS CORP | $171.7M | 1.54M | 0.52% | — |
| 39 | B B BARRICK MNG CORP | $171.6M | 4.68M | 0.52% | — |
| 40 | J JPM-PM JPMORGAN CHASE & CO | $168.1M | 513.5K | 0.51% | — |
| 41 | E ETHA ISHARES TR | $165.2M | 220.7K | 0.50% | — |
| 42 | V V VISA INC | $163M | 475.0K | 0.50% | — |
| 43 | A AVGO BROADCOM INC | $160.2M | 424.1K | 0.49% | — |
| 44 | M MGA MAGNA INTL INC | $131.7M | 2.01M | 0.40% | — |
| 45 | U UNH UNITEDHEALTH GROUP INC | $128.5M | 309.1K | 0.39% | — |
| 46 | G GOOGN ALPHABET INC | $122.7M | 347.2K | 0.37% | — |
| 47 | C CVE CENOVUS ENERGY INC | $120.8M | 4.90M | 0.37% | — |
| 48 | W WMT WALMART INC | $117.8M | 1.04M | 0.36% | — |
| 49 | M MDA MDA SPACE LTD | $112.9M | 2.74M | 0.34% | — |
| 50 | M META META PLATFORMS INC | $107.3M | 190.5K | 0.33% | — |