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PUBLIC SECTOR PENSION INVESTMENT BOARD

Q2 2026 13F filing

Updated 28 days ago

1,337 disclosed positions worth $38.7B

Portfolio value
$38.7B
Total holdings
1,337
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-13

Full holdings

Every line item disclosed in Q2 2026

N

NVIDIA CORPORATION

Value
$1.8B
Shares
9.17M
% Port
4.75%
A

APPLE INC

Value
$1.3B
Shares
4.59M
% Port
3.44%
M

MICROSOFT CORP

Value
$1.1B
Shares
3.05M
% Port
2.94%
G

ALPHABET INC

Value
$1B
Shares
2.92M
% Port
2.70%
T

TELESAT CORP

Value
$921.9M
Shares
18.21M
% Port
2.38%
A

BROADCOM INC

Value
$860M
Shares
2.28M
% Port
2.22%
A

AMAZON COM INC

Value
$847.3M
Shares
3.55M
% Port
2.19%
C

CANADIAN IMPERIAL BANK OF CO

Value
$672.3M
Shares
5.84M
% Port
1.74%
R

ROYAL BK CDA

Value
$625.1M
Shares
3.02M
% Port
1.62%
J

JPMORGAN CHASE & CO

Value
$536.9M
Shares
1.64M
% Port
1.39%
M
11.MU

MICRON TECHNOLOGY INC

Value
$531M
Shares
460.0K
% Port
1.37%
L
12.LLY

ELI LILLY & CO

Value
$441.8M
Shares
368.4K
% Port
1.14%
M
13.META

META PLATFORMS INC

Value
$437.9M
Shares
777.5K
% Port
1.13%
K
14.KLAC

KLA CORP

Value
$403.8M
Shares
1.34M
% Port
1.04%
T

TORONTO DOMINION BK ONT

Value
$391M
Shares
3.22M
% Port
1.01%
A
16.AZN

ASTRAZENECA PLC

Value
$373.1M
Shares
1.99M
% Port
0.96%
T
17.TSLA

TESLA INC

Value
$363.6M
Shares
864.5K
% Port
0.94%
V
18.V

VISA INC

Value
$346.8M
Shares
1.01M
% Port
0.90%
G

ALPHABET INC

Value
$304.7M
Shares
862.3K
% Port
0.79%
B

BERKSHIRE HATHAWAY INC DEL

Value
$278.5M
Shares
556.5K
% Port
0.72%
A
21.ABBV

ABBVIE INC

Value
$274M
Shares
1.09M
% Port
0.71%
B

BANK OF AMER CORP

Value
$248.2M
Shares
4.36M
% Port
0.64%
G

GOLDMAN SACHS GROUP INC

Value
$247.2M
Shares
244.4K
% Port
0.64%
A
24.AMD

ADVANCED MICRO DEVICES INC

Value
$242.1M
Shares
416.8K
% Port
0.63%
U
25.UNP

UNION PAC CORP

Value
$241.4M
Shares
887.7K
% Port
0.62%
U
26.URI

UNITED RENTALS INC

Value
$224.3M
Shares
198.0K
% Port
0.58%
N
27.NFLX

NETFLIX INC.

Value
$218.4M
Shares
3.06M
% Port
0.56%
M
28.MA

MASTERCARD INCORPORATED

Value
$215.8M
Shares
420.1K
% Port
0.56%
A
29.ADI

ANALOG DEVICES INC

Value
$213.1M
Shares
536.6K
% Port
0.55%
T
30.TXN

TEXAS INSTRS INC

Value
$208.9M
Shares
700.9K
% Port
0.54%
O
31.OILD

BANK MONTREAL MEDIUM

Value
$207.9M
Shares
1.18M
% Port
0.54%
U
32.UNH

UNITEDHEALTH GROUP INC

Value
$207.1M
Shares
498.2K
% Port
0.54%
E
33.ETN

EATON CORP PLC

Value
$204.6M
Shares
480.3K
% Port
0.53%
G
34.GWW

WW GRAINGER INC

Value
$202M
Shares
148.5K
% Port
0.52%
S
35.SHOP

SHOPIFY INC

Value
$201.1M
Shares
1.76M
% Port
0.52%
A
36.AZO

AUTOZONE INC

Value
$173.4M
Shares
54.3K
% Port
0.45%
I
37.INTC

INTEL CORP

Value
$171.5M
Shares
1.23M
% Port
0.44%
P
38.PH

PARKER-HANNIFIN CORP

Value
$168.5M
Shares
172.2K
% Port
0.44%
C
39.CEG

CONSTELLATION ENERGY CORP

Value
$166.6M
Shares
670.6K
% Port
0.43%
X
40.XOM

EXXON MOBIL CORP

Value
$164.3M
Shares
1.20M
% Port
0.42%
O

ORACLE CORP

Value
$157M
Shares
1.07M
% Port
0.41%
A
42.ANET

ARISTA NETWORKS INC

Value
$149M
Shares
877.2K
% Port
0.39%
T
43.TTE

TOTALENERGIES SE

Value
$147.3M
Shares
1.92M
% Port
0.38%
U
44.UBS

UBS GROUP AG

Value
$145.1M
Shares
2.93M
% Port
0.38%
B
45.BNS

BANK NOVA SCOTIA B C

Value
$144.8M
Shares
1.67M
% Port
0.37%
T

T-MOBILE US INC

Value
$142.8M
Shares
851.6K
% Port
0.37%
Q
47.QCOM

QUALCOMM INC

Value
$139.6M
Shares
755.5K
% Port
0.36%
B

BROOKFIELD CORP

Value
$136.7M
Shares
3.21M
% Port
0.35%
M

MANULIFE FINL CORP

Value
$135.7M
Shares
3.35M
% Port
0.35%
T
50.TJX

TJX COS INC NEW

Value
$134.9M
Shares
890.6K
% Port
0.35%