HoldingsChannel.com
AGF Investments Inc. Top Holdings
As of  06/30/2022, below is a summary of the AGF Investments Inc. top holdings by largest position size, as per the latest 13f filing made by AGF Investments Inc.. In the AGF Investments Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by AGF Investments Inc. in that top holding, then the share count change between reporting periods, and finally the AGF Investments Inc. top holding position size for that row.

   EntityAmountChange
 03/31/2022 to 06/30/2022
Position Size
($ in 1000's)
UnitedHealth Group Inc. 647,622 -19,359 $332,638
     UNH647,622-19,359$332,638
Cheniere Energy Inc. 2,220,691 +15,622 $295,419
     LNG2,220,691+15,622$295,419
Marathon Petroleum Corp. 3,221,314 +14,341 $264,824
     MPC3,221,314+14,341$264,824
Amazon.com Inc. 2,278,732 +2,182,432 $242,024
     AMZN2,278,732+2,182,432$242,024
SPDR S&P Technology Select Sector ETF (XLK) 1,618,990 +154,714 $205,806
     XLK1,618,990+154,714$205,806
Constellation Brands Inc. 836,568 -21,222 $194,971
     STZ836,568-21,222$194,971
Royal Bank of Canada 1,988,320 -156,104 $192,530
     RY1,988,320-156,104$192,530
Microsoft Corp. 746,263 -657 $191,663
     MSFT746,263-657$191,663
The AES Corp. 8,112,015 +2,347,457 $170,433
     AES8,112,015+2,347,457$170,433
Brookfield Asset Management Inc. 3,804,667 -37,165 $169,247
     BAM3,804,667-37,165$169,247
Toronto Dominion Bank 2,532,295 +295,426 $166,059
     TD2,532,295+295,426$166,059
Raymond James Financial Inc. 1,807,005 +199,788 $161,564
     RJF1,807,005+199,788$161,564
Enbridge Inc. 3,758,114 +25,045 $158,713
     ENB3,758,114+25,045$158,713
Nutrien Ltd. 1,941,132 -320,787 $154,638
     NTR1,941,132-320,787$154,638
NVIDIA Corp. 977,129 -30,414 $148,123
     NVDA977,129-30,414$148,123
Bank of Montreal 1,535,974 +61,331 $147,703
     BMO1,535,974+61,331$147,703
Palo Alto Networks Inc.      $144,634
     PANW287,820+621$142,166
     CCB1,440,000UNCH$2,468
Ulta Beauty Inc. 365,739 -8,133 $140,985
     ULTA365,739-8,133$140,985
Albemarle Corp. 646,947 -4,598 $135,199
     ALB646,947-4,598$135,199
Sony Group Corp. ADR 1,575,061 +39,381 $128,793
     SONY1,575,061+39,381$128,793
Waste Management Inc. 818,678 -29,725 $125,241
     WM818,678-29,725$125,241
Applied Materials Inc. 1,364,627 -63,340 $124,154
     AMAT1,364,627-63,340$124,154
TELUS Corp. 5,503,502 +3,369,629 $122,580
     TU5,503,502+3,369,629$122,580
AbbVie Inc. 794,999 +27,266 $121,762
     ABBV794,999+27,266$121,762
Northrop Grumman Corp. 240,338 +26,233 $115,019
     NOC240,338+26,233$115,019
SPDR Bloomberg Barclays 1 3 Month T Bill ETF (BIL) 1,245,567 +146,736 $113,957
     BIL1,245,567+146,736$113,957
Canadian Pacific Railway Ltd. 1,623,645 -213,651 $113,410
     CP1,623,645-213,651$113,410
QUALCOMM Inc. 887,810 +10,178 $113,409
     QCOM887,810+10,178$113,409
Canadian Natural Resources Ltd. 2,087,936 -278,207 $112,199
     CNQ2,087,936-278,207$112,199
Visa Inc. 547,872 -68,745 $107,871
     V547,872-68,745$107,871
Ameriprise Financial Inc. 450,671 +1,243 $107,115
     AMP450,671+1,243$107,115
Hilton Worldwide Holdings Inc. 946,359 +7,485 $105,462
     HLT946,359+7,485$105,462
Corteva Inc. 1,926,250 +396,416 $104,287
     CTVA1,926,250+396,416$104,287
AECOM 1,576,000 UNCH $102,787
     ACM1,576,000UNCH$102,787
Wyndham Hotels and Resorts Inc. 1,552,656 +47,552 $102,041
     WH1,552,656+47,552$102,041
Lam Research Corp. 236,225 +4,391 $100,667
     LRCX236,225+4,391$100,667
Bank of Nova Scotia 1,603,844 +1,259,130 $94,920
     BNS1,603,844+1,259,130$94,920
WW Grainger Inc. 208,625 +34,240 $94,805
     GWW208,625+34,240$94,805
JPMorgan Chase & Co. 840,962 -318,846 $94,701
     JPM840,962-318,846$94,701
Johnson & Johnson 527,648 +19,185 $93,663
     JNJ527,648+19,185$93,663
Thomson Reuters Corp. 861,696 -77,199 $89,831
     TRI861,696-77,199$89,831
Mondelez International Inc. 1,445,581 -13,047 $89,756
     MDLZ1,445,581-13,047$89,756
Waste Connections Inc. 721,479 +193,620 $89,456
     WCN721,479+193,620$89,456
TC Energy Corp. 1,688,895 -130,213 $87,489
     TRP1,688,895-130,213$87,489
The Bank of New York Mellon Corp. 2,061,731 -4,037 $85,995
     BK2,061,731-4,037$85,995
Honeywell International Inc. 491,239 -19,292 $85,382
     HON491,239-19,292$85,382
Health Care Select Sector SPDR ETF (XLV) 664,003 -295,295 $85,152
     XLV664,003-295,295$85,152
Jacobs Engineering Group Inc. 636,627 +3,289 $80,934
     J636,627+3,289$80,934
Quanta Services Inc. 626,652 +206,723 $78,545
     PWR626,652+206,723$78,545
Financial Select Sector SPDR ETF (XLF) 2,494,635 -263,783 $78,456
     XLF2,494,635-263,783$78,456

See Full List: All Stocks Held By AGF Investments Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By AGF Investments Inc.

Size ($ in 1000's)
At 06/30/2022: $11,248,544
At 03/31/2022: $13,334,180

Combined Holding Report Includes:
AGF INVESTMENTS INC.
AGF Investments LLC

AGF Investments Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from AGF Investments Inc. 13F filings. Link to 13F filings: SEC filings

AGF Investments Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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