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Purpose Unlimited Inc.

hedge fundUpdated 29 days ago

Managed by Purpose Unlimited Inc. • Latest filing Q2 2026

Portfolio value
$2.6B
Q2 2026
Filings
3
Quarterly 13F history
Top-10 concentration
100.0%
Weight of largest holdings
Annualized return
Implied from 13F holdings

Portfolio value history

13F-disclosed portfolio value over 3 quarters

Show data table
PeriodPortfolio value
Q4 2025$2.2B
Q1 2026$2.4B
Q2 2026$2.6B

Top holdings

864 positions as of Q2 2026

View filing
T

TESLA INC

Value
$383.2M
Shares
911.1K
% Port
14.65%
V

VANGUARD BD INDEX FDS

Value
$200.4M
Shares
2.57M
% Port
7.66%
N

NVIDIA CORPORATION

Value
$179.3M
Shares
895.9K
% Port
6.85%
A

AMAZON COM INC

Value
$92.7M
Shares
388.8K
% Port
3.54%
C
5.CNQ

CANADIAN NAT RES LTD MED TER

Value
$89.5M
Shares
2.26M
% Port
3.42%
R

ROYAL BK CDA

Value
$70.3M
Shares
339.4K
% Port
2.69%
G

ALPHABET INC

Value
$67.8M
Shares
189.7K
% Port
2.59%
B
8.BNS

BANK NOVA SCOTIA B C

Value
$61.8M
Shares
710.8K
% Port
2.36%
B

BERKSHIRE HATHAWAY INC DEL

Value
$61.2M
Shares
122.3K
% Port
2.34%
T

TORONTO DOMINION BK ONT

Value
$60.8M
Shares
500.1K
% Port
2.32%
S
11.SPY

STATE STR SPDR S&P 500 ETF T

Value
$52.8M
Shares
70.6K
% Port
2.02%
E

ENBRIDGE INC

Value
$52.2M
Shares
963.0K
% Port
2.00%
O
13.OILD

BANK MONTREAL MEDIUM

Value
$47.3M
Shares
267.6K
% Port
1.81%
A
14.AAPL

APPLE INC

Value
$41.1M
Shares
142.2K
% Port
1.57%
M
15.MSFT

MICROSOFT CORP

Value
$40.3M
Shares
108.0K
% Port
1.54%
F
16.FNV

FRANCO NEV CORP

Value
$37.9M
Shares
180.1K
% Port
1.45%
U
17.UNH

UNITEDHEALTH GROUP INC

Value
$37.1M
Shares
89.3K
% Port
1.42%
A
18.AMD

ADVANCED MICRO DEVICES INC

Value
$36.6M
Shares
63.0K
% Port
1.40%
E
19.ETHA

ISHARES TR

Value
$36.6M
Shares
378.8K
% Port
1.40%
B
20.BLK

ISHARES TR

Value
$35M
Shares
222.8K
% Port
1.34%

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