Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
The Charles Schwab Corp | 226,068,225 | +101,949 | $15,553,494 |
SCHW | 226,068,225 | +101,949 | $15,553,494 |
Royal Bank of Canada | 20,457,313 | -228,473 | $2,068,848 |
RY | 20,457,313 | -228,473 | $2,068,848 |
Apple Inc | 10,168,073 | -268,061 | $1,957,659 |
AAPL | 10,168,073 | -268,061 | $1,957,659 |
Microsoft Corp | 5,164,495 | +121,083 | $1,942,057 |
MSFT | 5,164,495 | +121,083 | $1,942,057 |
Invesco QQQ Trust Series 1 | 4,644,901 | -959,055 | $1,902,180 |
QQQ | 4,644,901 | -959,055 | $1,902,180 |
SPDR S&P 500 ETF Trust (SPY) | 3,226,415 | +30,673 | $1,533,547 |
SPY | 3,226,415 | +30,673 | $1,533,547 |
iShares Russell 2000 ETF (IWM) | 7,514,004 | -98,369 | $1,508,136 |
IWM | 7,514,004 | -98,369 | $1,508,136 |
Bank of Montreal | 14,678,185 | +635,592 | $1,452,260 |
BMO | 14,678,185 | +635,592 | $1,452,260 |
Bank of Nova Scotia The | 28,894,803 | +6,327,123 | $1,406,888 |
BNS | 28,894,803 | +6,327,123 | $1,406,888 |
Canadian Imperial Bank of Comm | 25,759,113 | -1,206,765 | $1,240,044 |
CM | 25,759,113 | -1,206,765 | $1,240,044 |
NVIDIA Corp | 1,953,752 | +168,469 | $967,537 |
NVDA | 1,953,752 | +168,469 | $967,537 |
TransCanada Corp | 23,973,046 | -4,478,418 | $937,106 |
TRP | 23,973,046 | -4,478,418 | $937,106 |
Toronto Dominion Bank The | 13,871,153 | -759,461 | $896,354 |
TD | 13,871,153 | -759,461 | $896,354 |
SPDR Gold Shares (GLD) | 4,570,058 | -90,234 | $873,658 |
GLD | 4,570,058 | -90,234 | $873,658 |
Amazon.com Inc | 5,669,027 | -134,721 | $861,352 |
AMZN | 5,669,027 | -134,721 | $861,352 |
Enbridge Inc | 17,262,602 | +468,257 | $621,799 |
ENB | 17,262,602 | +468,257 | $621,799 |
Alphabet Inc | 4,428,776 | +492,883 | $618,656 |
GOOGL | 4,428,776 | +492,883 | $618,656 |
Canadian Natural Resources Ltd | 9,314,527 | -2,328,149 | $610,288 |
CNQ | 9,314,527 | -2,328,149 | $610,288 |
DROPBOX INC | $583,327 | ||
BOND | 5,773,000 | +5,773,000 | $583,327 |
iShares MSCI ACWI ETF (ACWI) | 5,310,000 | -430,000 | $540,399 |
ACWI | 5,310,000 | -430,000 | $540,399 |
Alphabet Inc | 3,692,066 | +531,246 | $520,323 |
GOOG | 3,692,066 | +531,246 | $520,323 |
Canadian National Railway Co | 3,846,647 | +296,330 | $483,254 |
CNI | 3,846,647 | +296,330 | $483,254 |
Berkshire Hathaway Inc | $445,820 | ||
BRK.B | 1,167,829 | +177,608 | $416,518 |
BRK.A | 54 | UNCH | $29,302 |
Fortis Inc Canada | 10,323,868 | -2,340,777 | $424,621 |
FTS | 10,323,868 | -2,340,777 | $424,621 |
JPMorgan Chase & Co | 2,485,822 | -643 | $422,838 |
JPM | 2,485,822 | -643 | $422,838 |
Bank of America Corp | 12,417,275 | +1,779,651 | $418,090 |
BAC | 12,417,275 | +1,779,651 | $418,090 |
Brookfield Asset Management In | 9,985,595 | -495,455 | $400,622 |
BN | 9,985,595 | -495,455 | $400,622 |
Tesla Inc | 1,518,305 | -179,007 | $377,268 |
TSLA | 1,518,305 | -179,007 | $377,268 |
Facebook Inc | 1,035,466 | -715,522 | $366,514 |
META | 1,035,466 | -715,522 | $366,514 |
Cognizant Technology Solutions | 4,793,511 | -539,671 | $362,054 |
CTSH | 4,793,511 | -539,671 | $362,054 |
Suncor Energy Inc | 11,026,674 | +2,353,827 | $353,295 |
SU | 11,026,674 | +2,353,827 | $353,295 |
BCE Inc | 8,916,330 | +107,513 | $351,125 |
BCE | 8,916,330 | +107,513 | $351,125 |
iShares MSCI Japan ETF (EWJ) | 5,214,900 | +923,350 | $334,484 |
EWJ | 5,214,900 | +923,350 | $334,484 |
Broadcom Inc | 296,759 | +45,694 | $331,257 |
AVGO | 296,759 | +45,694 | $331,257 |
Manulife Financial Corp | 14,758,967 | +706,900 | $326,173 |
MFC | 14,758,967 | +706,900 | $326,173 |
UnitedHealth Group Inc | 616,572 | -68,287 | $324,607 |
UNH | 616,572 | -68,287 | $324,607 |
Home Depot Inc The | 872,505 | +165,192 | $302,367 |
HD | 872,505 | +165,192 | $302,367 |
TELUS Corp | 16,452,740 | +481,544 | $292,694 |
TU | 16,452,740 | +481,544 | $292,694 |
Canadian Pacific Railway Ltd | 3,547,314 | +148,911 | $280,451 |
CP | 3,547,314 | +148,911 | $280,451 |
Rogers Communications Inc | 5,979,954 | +887,699 | $279,922 |
RCI | 5,979,954 | +887,699 | $279,922 |
First Horizon National Corp | 19,765,253 | -108,420 | $279,876 |
FHN | 19,765,253 | -108,420 | $279,876 |
Eli Lilly & Co | 478,125 | +36,390 | $278,709 |
LLY | 478,125 | +36,390 | $278,709 |
Nutrien Ltd | 4,897,233 | -316,337 | $275,861 |
NTR | 4,897,233 | -316,337 | $275,861 |
Visa Inc | 1,013,756 | -19,631 | $263,931 |
V | 1,013,756 | -19,631 | $263,931 |
Pembina Pipeline Corp | 7,449,435 | -250,173 | $256,410 |
PBA | 7,449,435 | -250,173 | $256,410 |
Financial Select Sector SPDR Fund (XLF) | 6,648,089 | +4,369,779 | $249,968 |
XLF | 6,648,089 | +4,369,779 | $249,968 |
Sun Life Financial Inc | 4,651,204 | +215,001 | $241,211 |
SLF | 4,651,204 | +215,001 | $241,211 |
Exxon Mobil Corp | 2,338,079 | -55,567 | $233,761 |
XOM | 2,338,079 | -55,567 | $233,761 |
Procter & Gamble Co The | 1,594,389 | +15,445 | $233,642 |
PG | 1,594,389 | +15,445 | $233,642 |
Johnson & Johnson | 1,476,378 | +107,646 | $231,407 |
JNJ | 1,476,378 | +107,646 | $231,407 |
See Full List: All Stocks Held By Toronto Dominion Bank
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Toronto Dominion Bank
Size ($ in 1000's)
At 12/31/2023: $68,932,107 At 09/30/2023: $60,556,217 Combined Holding Report Includes:
Toronto Dominion Bank holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Toronto Dominion Bank 13F filings. Link to 13F filings: SEC filings |