HoldingsChannel.com
AGF Investments Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Honeywell International Inc. 1,497,116 +204,554 $200,303
     HON1,497,116+204,554$200,303
Alibaba Group Holding Ltd. ADR 995,735 -45,090 $193,651
     BABA995,735-45,090$193,651
Amazon.com Inc. 90,998 +2,118 $177,421
     AMZN90,998+2,118$177,421
Waste Management Inc. 1,753,764 -19,496 $162,328
     WM1,753,764-19,496$162,328
JPMorgan Chase & Co. 1,729,147 +276,765 $155,677
     JPM1,729,147+276,765$155,677
Toronto Dominion Bank 3,067,440 +1,881,812 $130,409
     TD3,067,440+1,881,812$130,409
UnitedHealth Group Inc. 487,468 +70,974 $121,567
     UNH487,468+70,974$121,567
Mondelez International Inc. 2,375,844 -28,427 $118,982
     MDLZ2,375,844-28,427$118,982
Brookfield Asset Management Inc. 2,592,698 +1,939,227 $114,924
     BAM2,592,698+1,939,227$114,924
Royal Bank of Canada 1,833,237 +891,660 $113,553
     RY1,833,237+891,660$113,553
Microsoft Corp. 707,592 +332,384 $111,598
     MSFT707,592+332,384$111,598
Enbridge Inc. 3,788,345 +2,838,416 $110,311
     ENB3,788,345+2,838,416$110,311
Northrop Grumman Corp. 358,994 -4,036 $108,614
     NOC358,994-4,036$108,614
Nutrien Ltd. 3,178,671 +1,773,122 $108,520
     NTR3,178,671+1,773,122$108,520
T Mobile US Inc. 1,285,220 -146,251 $107,830
     TMUS1,285,220-146,251$107,830
Philip Morris International Inc. 1,471,795 +11,370 $107,382
     PM1,471,795+11,370$107,382
Moody&apos s Corp. 493,134 -55,908 $104,298
     MCO493,134-55,908$104,298
AbbVie Inc. 1,321,748 +9,515 $100,704
     ABBV1,321,748+9,515$100,704
Chubb Ltd. 801,466 -140,271 $89,516
     CB801,466-140,271$89,516
AT&T Inc. 3,069,397 -52,525 $89,473
     T3,069,397-52,525$89,473
Health Care Select Sector SPDR ETF (XLV) 1,005,137 +48,839 $89,035
     XLV1,005,137+48,839$89,035
NVIDIA Corp. 323,905 +323,905 $85,381
     NVDA323,905+323,905$85,381
TC Energy Corp. 1,896,574 +1,896,574 $84,297
     TRP1,896,574+1,896,574$84,297
Bank of Nova Scotia 2,024,817 +1,363,586 $82,688
     BNS2,024,817+1,363,586$82,688
Manulife Financial Corp. 6,457,643 +5,055,469 $81,082
     MFC6,457,643+5,055,469$81,082
SPDR S&P Technology Select Sector ETF (XLK) 966,362 +46,955 $77,667
     XLK966,362+46,955$77,667
Canadian National Railway Co. 987,507 +369,855 $77,208
     CNI987,507+369,855$77,208
Roku Inc. 823,871 +406,306 $72,072
     ROKU823,871+406,306$72,072
Jacobs Engineering Group Inc. 873,145 -63,345 $69,214
     JEC873,145-63,345$69,214
The Sherwin Williams Co. 150,579 -8,066 $69,194
     SHW150,579-8,066$69,194
Visa Inc. 428,441 +132,979 $69,033
     V428,441+132,979$69,033
RingCentral Inc. 321,812 +321,812 $68,195
     RNG321,812+321,812$68,195
Bristol Myers Squibb Co.      $68,055
     BMY1,220,595+35,115$68,036
     RTS4,895+4,895$19
Booz Allen Hamilton Holding Corp. 942,168 -119,631 $64,670
     BAH942,168-119,631$64,670
DocuSign Inc. 689,108 +689,108 $63,674
     DOCU689,108+689,108$63,674
Centene Corp. 1,047,120 -193,206 $62,209
     CNC1,047,120-193,206$62,209
Costco Wholesale Corp. 216,520 -143,718 $61,736
     COST216,520-143,718$61,736
3M Co. 448,830 +85,055 $61,272
     MMM448,830+85,055$61,272
ServiceNow Inc.      $60,416
     NOW207,104-111,990$59,352
     CCB500,000UNCH$1,064
CoStar Group Inc. 102,587 +30,340 $60,240
     CSGP102,587+30,340$60,240
Keysight Technologies Inc. 700,422 -92,286 $58,611
     KEYS700,422-92,286$58,611
The Williams Cos. Inc. 4,109,016 +256,648 $58,143
     WMB4,109,016+256,648$58,143
iShares Core S&P 500 ETF (IVV) 223,468 +1,898 $57,744
     IVV223,468+1,898$57,744
CVS Health Corp. 963,130 +335,153 $57,143
     CVS963,130+335,153$57,143
Financial Select Sector SPDR ETF (XLF) 2,700,050 +131,195 $56,215
     XLF2,700,050+131,195$56,215
MSCI Inc. 194,040 +55,838 $56,070
     MSCI194,040+55,838$56,070
Apple Inc. 219,244 +114,558 $55,754
     AAPL219,244+114,558$55,754
The Home Depot Inc. 294,037 +128,766 $54,903
     HD294,037+128,766$54,903
Alphabet Inc. 46,979 +5,583 $54,587
     GOOGL46,979+5,583$54,587
BCE Inc. 1,328,818 +1,144,630 $54,511
     BCE1,328,818+1,144,630$54,511

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 03/31/2020: $8,254,503
At 12/31/2019: $8,328,818

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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