HoldingsChannel.com
Toronto Dominion Bank Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
TD Ameritrade Holding Corp 234,037,278 -6,833 $11,683,140
     AMTD234,037,278-6,833$11,683,140
IONIS PHARMACEUTICALS INC.      $5,942,713
     BOND2+2$5,941,394
     IONS20,523+20,476$1,319
PALO ALTO NETWORKS INC.      $4,455,384
     BOND2+2$4,452,470
     PANW14,306-2,779$2,914
ON SEMICONDUCTOR CORPORATION      $4,288,716
     BOND2+2$4,287,424
     ON63,953-11,839$1,292
SPDR S&P 500 ETF (SPY) 11,797,054 -2,262,939 $3,456,520
     SPY11,797,054-2,262,939$3,456,520
NXP SEMICONDUCTOR N.V.      $2,117,479
     BOND2+2$2,117,224
     NXPI2,607-26,469$255
IRONWOOD PHARMACEUTICALS INC.      $1,603,261
     BOND1+1$1,603,261
Bank of Nova Scotia The 27,596,310 +1,716,198 $1,483,851
     BNS27,596,310+1,716,198$1,483,851
Canadian Imperial Bank of Comm 18,311,681 +4,401,289 $1,439,731
     CM18,311,681+4,401,289$1,439,731
Royal Bank of Canada 17,922,433 -1,707,240 $1,424,531
     RY17,922,433-1,707,240$1,424,531
Bank of Montreal 11,322,588 -2,449,460 $855,178
     BMO11,322,588-2,449,460$855,178
Toronto Dominion Bank The 13,393,898 -3,049,504 $782,474
     TD13,393,898-3,049,504$782,474
Microsoft Corp 4,742,325 -809,442 $635,033
     MSFT4,742,325-809,442$635,033
Apple Inc 2,798,528 -427,031 $553,736
     AAPL2,798,528-427,031$553,736
Amazon.com Inc 281,455 -48,230 $532,839
     AMZN281,455-48,230$532,839
SPDR GOLD TRUST GOLD SHS (GLD) 3,284,900 -120,974,380 $437,549
     GLD3,284,900-120,974,380$437,549
TransCanada Corp 8,740,075 -42,375 $433,017
     TRP8,740,075-42,375$433,017
Facebook Inc 2,022,564 -50,356 $390,267
     FB2,022,564-50,356$390,267
Enbridge Inc 9,942,511 -2,866,698 $359,053
     ENB9,942,511-2,866,698$359,053
Canadian National Railway Co 3,855,518 -955,540 $356,652
     CNI3,855,518-955,540$356,652
Fortis Inc Canada 8,998,512 -2,482,152 $355,240
     FTS8,998,512-2,482,152$355,240
Procter & Gamble Co The 2,920,561 +1,011,170 $320,153
     PG2,920,561+1,011,170$320,153
JPMorgan Chase & Co 2,574,786 -107,532 $287,786
     JPM2,574,786-107,532$287,786
Brookfield Asset Management In 5,774,719 -824,475 $276,206
     BAM5,774,719-824,475$276,206
Johnson & Johnson 1,983,621 -151,800 $276,205
     JNJ1,983,621-151,800$276,205
Alphabet Inc 246,508 -9,463 $266,861
     GOOGL246,508-9,463$266,861
Alphabet Inc 230,857 -23,242 $249,468
     GOOG230,857-23,242$249,468
BCE Inc 5,366,021 -1,339,324 $244,762
     BCE5,366,021-1,339,324$244,762
ISHARES MSCI EMG MRK INDX (EEM) 5,672,677 +2,509,197 $243,418
     EEM5,672,677+2,509,197$243,418
Berkshire Hathaway Inc      $238,372
     BRK.B1,118,521-108,206$238,372
Canadian Natural Resources Ltd 8,807,891 -156,985 $237,725
     CNQ8,807,891-156,985$237,725
Coca Cola Co The 4,502,651 +1,607,990 $229,215
     KO4,502,651+1,607,990$229,215
Linde PLC 1,106,620 +731,334 $222,236
     LIN1,106,620+731,334$222,236
VANECK VEC GLD MINERS ETF (GDX) 8,500,000 +8,052,972 $217,203
     GDX8,500,000+8,052,972$217,203
Verizon Communications Inc 3,786,441 +128,859 $216,271
     VZ3,786,441+128,859$216,271
PepsiCo Inc 1,632,309 +558,751 $213,989
     PEP1,632,309+558,751$213,989
Brookfield Infrastructure Part 4,908,091 -627,459 $210,337
     BIP4,908,091-627,459$210,337
Exxon Mobil Corp 2,640,164 -309,222 $202,261
     XOM2,640,164-309,222$202,261
Bank of America Corp 6,830,835 -1,816,914 $198,048
     BAC6,830,835-1,816,914$198,048
Visa Inc 1,097,313 -154,598 $190,378
     V1,097,313-154,598$190,378
Suncor Energy Inc 6,063,097 -2,131,260 $189,090
     SU6,063,097-2,131,260$189,090
Walt Disney Co The 1,340,139 -374,222 $186,885
     DIS1,340,139-374,222$186,885
AT&T Inc 5,532,802 -416,165 $185,356
     T5,532,802-416,165$185,356
Wal Mart Stores Inc 1,626,917 +527,110 $179,710
     WMT1,626,917+527,110$179,710
Pfizer Inc 4,133,783 -79,479 $179,028
     PFE4,133,783-79,479$179,028
UnitedHealth Group Inc 708,453 -59,294 $172,823
     UNH708,453-59,294$172,823
Wells Fargo & Co 3,490,730 -950,683 $165,141
     WFC3,490,730-950,683$165,141
Mastercard Inc 614,369 -47,469 $162,479
     MA614,369-47,469$162,479
Merck & Co Inc 1,916,898 -16,818 $160,689
     MRK1,916,898-16,818$160,689
Canadian Pacific Railway Ltd 675,737 -159,815 $159,008
     CP675,737-159,815$159,008

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 06/30/2019: $65,375,693
At 03/31/2019: $64,033,039

Combined Holding Report Includes:
TORONTO DOMINION BANK
TDAM USA INC.
TD ASSET MANAGEMENT INC
TD Securities USA LLC
TD SECURITIES INC
TD GLOBAL FINANCE
Toronto Dominion New York LLC
TORONTO DOMINION SOUTH EAST ASIA Ltd
TD Insurance Meloche Monnex

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

Toronto Dominion Bank Top Holdings 13F Filings | www.HoldingsChannel.com

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