HoldingsChannel.com
TD Asset Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 15,178,553 +850,226 $3,912,272
     SPY15,178,553+850,226$3,912,272
ROYAL BK CDA 37,977,712 +7,746,239 $2,325,865
     RY37,977,712+7,746,239$2,325,865
TORONTO DOMINION BK ONT 48,537,865 +9,798,939 $2,040,273
     TD48,537,865+9,798,939$2,040,273
MICROSOFT CORP 10,666,491 +281,349 $1,682,213
     MSFT10,666,491+281,349$1,682,213
BANK NOVA SCOTIA B C 35,152,944 +6,174,868 $1,419,356
     BNS35,152,944+6,174,868$1,419,356
ENBRIDGE INC 44,513,210 +7,239,419 $1,281,594
     ENB44,513,210+7,239,419$1,281,594
CANADIAN NATL RY CO 16,133,264 +2,685,787 $1,247,254
     CNI16,133,264+2,685,787$1,247,254
TC ENERGY CORP 22,308,782 +1,857,616 $980,374
     TRP22,308,782+1,857,616$980,374
AMAZON COM INC 485,022 +53,539 $945,657
     AMZN485,022+53,539$945,657
ISHARES TR (HYG) 12,216,547 +9,880,585 $941,529
     HYG12,216,547+9,880,585$941,529
BANK MONTREAL 18,689,302 +4,575,820 $933,040
     BMO18,689,302+4,575,820$933,040
BROOKFIELD ASSET MGMT INC 20,412,261 +6,270,631 $894,591
     BAM20,412,261+6,270,631$894,591
APPLE INC 3,483,841 +468,501 $885,906
     AAPL3,483,841+468,501$885,906
CANADIAN IMP BK COMM 14,418,299 +3,368,516 $830,647
     CM14,418,299+3,368,516$830,647
TELUS CORPORATION 52,177,779 +30,193,135 $815,654
     TU52,177,779+30,193,135$815,654
CANADIAN PAC RY LTD 3,679,334 +632,370 $802,825
     CP3,679,334+632,370$802,825
BCE INC 17,899,210 +2,863,346 $725,981
     BCE17,899,210+2,863,346$725,981
VISA INC 4,462,921 +454,579 $719,066
     V4,462,921+454,579$719,066
FACEBOOK INC 3,726,907 +47,924 $621,648
     FB3,726,907+47,924$621,648
ALPHABET INC 512,631 +6,246 $596,093
     GOOG512,631+6,246$596,093
SUN LIFE FINL INC 18,659,599 +835,462 $593,475
     SLF18,659,599+835,462$593,475
SUNCOR ENERGY INC NEW 37,012,222 +4,822,652 $584,041
     SU37,012,222+4,822,652$584,041
MANULIFE FINL CORP 46,200,992 +8,101,905 $573,557
     MFC46,200,992+8,101,905$573,557
ROGERS COMMUNICATIONS INC 13,529,256 +2,044,860 $558,368
     RCI13,529,256+2,044,860$558,368
FORTIS INC 14,415,896 +2,430,112 $549,658
     FTS14,415,896+2,430,112$549,658
UNITEDHEALTH GROUP INC 1,823,475 +155,662 $454,738
     UNH1,823,475+155,662$454,738
JOHNSON & JOHNSON 3,272,732 +474,367 $429,153
     JNJ3,272,732+474,367$429,153
WASTE CONNECTIONS INC 5,513,116 +1,099,569 $423,555
     WCN5,513,116+1,099,569$423,555
HOME DEPOT INC 1,991,020 +159,117 $371,744
     HD1,991,020+159,117$371,744
PROCTER & GAMBLE CO 3,350,727 +339,057 $368,580
     PG3,350,727+339,057$368,580
CANADIAN NAT RES LTD 26,784,182 -82,167 $362,241
     CNQ26,784,182-82,167$362,241
MERCK & CO. INC 4,475,981 +128,266 $344,382
     MRK4,475,981+128,266$344,382
PFIZER INC 10,546,440 +1,119,046 $344,235
     PFE10,546,440+1,119,046$344,235
BARRICK GOLD CORPORATION 18,508,457 +1,887,510 $336,277
     GOLD18,508,457+1,887,510$336,277
ALIBABA GROUP HLDG LTD 1,716,585 -33,836 $333,842
     BABA1,716,585-33,836$333,842
ISHARES TR (EFA) 5,996,023 -2,381,526 $320,547
     EFA5,996,023-2,381,526$320,547
NUTRIEN LTD 9,394,307 +2,043,978 $317,570
     NTR9,394,307+2,043,978$317,570
JPMORGAN CHASE & CO 3,526,010 -357,704 $317,446
     JPM3,526,010-357,704$317,446
COCA COLA CO 6,947,461 -781,382 $307,425
     KO6,947,461-781,382$307,425
BROOKFIELD INFRAST PARTNERS 8,291,864 +2,506,643 $297,751
     BIP8,291,864+2,506,643$297,751
NIKE INC 3,454,787 +620,544 $285,849
     NKE3,454,787+620,544$285,849
SHAW COMMUNICATIONS INC 17,788,618 +2,961,117 $285,323
     SJR17,788,618+2,961,117$285,323
PEPSICO INC 2,244,236 +179,523 $269,533
     PEP2,244,236+179,523$269,533
ABBOTT LABS 3,380,282 +1,156,709 $266,738
     ABT3,380,282+1,156,709$266,738
WALMART INC 2,231,303 +1,000,329 $253,521
     WMT2,231,303+1,000,329$253,521
THERMO FISHER SCIENTIFIC INC 891,625 +60,855 $252,865
     TMO891,625+60,855$252,865
ISHARES TR (TLT) 1,525,024 +9,546 $251,584
     TLT1,525,024+9,546$251,584
ALPHABET INC 213,284 +27,820 $247,825
     GOOGL213,284+27,820$247,825
MASTERCARD INC 1,004,044 +106,547 $242,537
     MA1,004,044+106,547$242,537
LINDE PLC 1,380,279 -8,556 $238,789
     LIN1,380,279-8,556$238,789

See Full List: All Stocks Held By TD Asset Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By TD Asset Management Inc.

Size ($ in 1000's)
At 03/31/2020: $59,095,395
At 12/31/2019: $68,880,094

Combined Holding Report Includes:
TD ASSET MANAGEMENT INC
TD Waterhouse Private Investment Counsel Inc.
TD Waterhouse Private Investment Counsel Inc.

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

TD Asset Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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