HoldingsChannel.com
AGF Investments Inc. Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Honeywell International Inc. 1,292,562 -52,105 $228,783
     HON1,292,562-52,105$228,783
Alibaba Group Holding Ltd. ADR 1,040,825 +303,711 $220,759
     BABA1,040,825+303,711$220,759
JPMorgan Chase & Co. 1,452,382 -73,861 $202,462
     JPM1,452,382-73,861$202,462
Waste Management Inc. 1,773,260 -50,184 $202,081
     WM1,773,260-50,184$202,081
Amazon.com Inc. 88,880 -3,461 $164,236
     AMZN88,880-3,461$164,236
Chubb Ltd. 941,737 -219,571 $146,591
     CB941,737-219,571$146,591
Mondelez International Inc. 2,404,271 -53,283 $132,427
     MDLZ2,404,271-53,283$132,427
Moody&apos s Corp. 549,042 -46,742 $130,348
     MCO549,042-46,742$130,348
Northrop Grumman Corp. 363,030 -20,857 $124,871
     NOC363,030-20,857$124,871
Philip Morris International Inc. 1,460,425 -44,784 $124,268
     PM1,460,425-44,784$124,268
UnitedHealth Group Inc. 416,494 -10,986 $122,441
     UNH416,494-10,986$122,441
AT&T Inc. 3,121,922 -68,504 $122,005
     T3,121,922-68,504$122,005
AbbVie Inc. 1,312,233 -31,466 $116,185
     ABBV1,312,233-31,466$116,185
T Mobile US Inc. 1,431,471 -88,717 $112,256
     TMUS1,431,471-88,717$112,256
Costco Wholesale Corp. 360,238 -20,302 $105,881
     COST360,238-20,302$105,881
Health Care Select Sector SPDR ETF (XLV) 956,298 +189,402 $97,409
     XLV956,298+189,402$97,409
Global Payments Inc. 530,096 +5,178 $96,774
     GPN530,096+5,178$96,774
T Rowe Price Group Inc. 765,516 +105,173 $93,270
     TROW765,516+105,173$93,270
The Sherwin Williams Co. 158,645 -2,600 $92,576
     SHW158,645-2,600$92,576
The Williams Cos. Inc. 3,852,368 +626,050 $91,378
     WMB3,852,368+626,050$91,378
ServiceNow Inc.      $91,142
     NOW319,094+71,729$90,087
     CCB500,000-50,000$1,055
United Rentals Inc. 511,681 +156,651 $85,333
     URI511,681+156,651$85,333
SPDR S&P Technology Select Sector ETF (XLK) 919,407 +178,139 $84,282
     XLK919,407+178,139$84,282
Jacobs Engineering Group Inc. 936,490 -49,986 $84,125
     JEC936,490-49,986$84,125
Keysight Technologies Inc. 792,708 +105,297 $81,356
     KEYS792,708+105,297$81,356
Alaska Air Group Inc. 1,194,889 -54,944 $80,954
     ALK1,194,889-54,944$80,954
Financial Select Sector SPDR ETF (XLF) 2,568,855 +493,352 $79,069
     XLF2,568,855+493,352$79,069
Centene Corp. 1,240,326 -11,730 $77,979
     CNC1,240,326-11,730$77,979
Bristol Myers Squibb Co. 1,185,480 -29,804 $76,096
     BMY1,185,480-29,804$76,096
Booz Allen Hamilton Holding Corp. 1,061,799 -3,484 $75,526
     BAH1,061,799-3,484$75,526
Royal Bank of Canada 941,577 -14,114 $74,504
     RY941,577-14,114$74,504
Old Dominion Freight Line Inc. 390,212 -21,275 $74,054
     ODFL390,212-21,275$74,054
Synchrony Financial 1,991,598 -53,952 $71,717
     SYF1,991,598-53,952$71,717
iShares Core S&P 500 ETF (IVV) 221,570 -100,000 $71,620
     IVV221,570-100,000$71,620
Intuit Inc. 272,927 -7,346 $71,488
     INTU272,927-7,346$71,488
Industrial Select Sector SPDR ETF (XLI) 871,496 +165,551 $71,001
     XLI871,496+165,551$71,001
Primerica Inc. 535,084 -57,269 $69,861
     PRI535,084-57,269$69,861
Nutrien Ltd. 1,405,549 -72,395 $67,312
     NTR1,405,549-72,395$67,312
FleetCor Technologies Inc. 231,347 +152,897 $66,563
     FLT231,347+152,897$66,563
Toronto Dominion Bank 1,185,628 -187,286 $66,497
     TD1,185,628-187,286$66,497
Advanced Micro Devices Inc.      $66,078
     AMD1,412,421+1,412,421$64,774
     CCB225,000+225,000$1,304
AGCO Corp. 843,141 -66,102 $65,133
     AGCO843,141-66,102$65,133
MarketAxess Holdings Inc. 171,783 +21,724 $65,125
     MKTX171,783+21,724$65,125
3M Co. 363,775 -12,135 $64,177
     MMM363,775-12,135$64,177
iShares MSCI Singapore ETF (EWS) 2,520,000 -50,282 $60,833
     EWS2,520,000-50,282$60,833
Omnicom Group Inc. 739,936 -17,926 $59,950
     OMC739,936-17,926$59,950
Microsoft Corp. 375,208 -4,823 $59,170
     MSFT375,208-4,823$59,170
iShares MSCI Japan ETF (EWJ) 991,058 -100,000 $58,710
     EWJ991,058-100,000$58,710
Franklin FTSE Japan ETF (FLJP) 2,241,031 -76,469 $58,603
     FLJP2,241,031-76,469$58,603
Prologis Inc. REIT 651,740 +132,311 $58,096
     PLD651,740+132,311$58,096

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 12/31/2019: $8,328,818
At 09/30/2019: $7,976,207

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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