ROYAL BK CDA COM RY
4.64% 4.14% $2.12B 10.2M $1.69B 10.5M -265,015 -2.53% Reduce NVIDIA CORPORATION NVDA
3.61% 3.68% $1.65B 8.2M $1.51B 8.6M -389,881 -4.52% Reduce TORONTO DOMINION BK ONT COM NEW TD
3.38% 2.73% $1.54B 12.7M $1.12B 12.0M +707,315 +5.92% Add APPLE INC AAPL
3.21% 3.24% $1.46B 5.1M $1.33B 5.2M -161,626 -3.10% Reduce BANK MONTREAL MEDIUM COM BMO
2.63% 2.25% $1.20B 6.7M $920.5M 6.8M -32,333 -0.48% Reduce MICROSOFT CORP MSFT
2.12% 2.49% $967.6M 2.6M $1.02B 2.8M -161,678 -5.87% Reduce BANK NOVA SCOTIA B C BNS
2.06% 1.49% $938.0M 10.8M $611.5M 8.8M +2.0M +22.33% Add CANADIAN IMPERIAL BANK OF CO CM
1.85% 1.96% $843.9M 7.3M $802.4M 8.5M -1.2M -13.55% Reduce AMAZON COM INC AMZN
1.8% 1.82% $820.7M 3.4M $745.1M 3.6M -134,451 -3.76% Reduce CANADIAN NATL RY CO CNI
1.8% 0.92% $819.9M 6.9M $377.1M 3.7M +3.2M +87.04% Add AGNICO EAGLE MINES LTD AEM
1.68% 2.16% $768.0M 4.9M $884.9M 4.4M +573,277 +13.15% Add ENBRIDGE INC ENB
1.67% 1.92% $764.0M 14.1M $786.7M 14.5M -447,168 -3.08% Reduce ALPHABET INC GOOGL
1.64% 1.54% $746.0M 2.1M $628.1M 2.2M -96,731 -4.43% Reduce MANULIFE FINL CORP MFC
1.57% 1.19% $715.5M 17.6M $487.7M 14.1M +3.5M +24.53% Add BROOKFIELD CORP BN
1.47% 1.4% $672.3M 15.7M $571.0M 14.1M +1.6M +11.68% Add B BARRICK MNG CORP B
1.46% 2.1% $668.0M 18.1M $859.7M 21.0M -2.9M -13.85% Reduce C CANADIAN NAT RES LTD CNQ
1.45% 1.87% $662.9M 16.7M $766.4M 15.7M +1.0M +6.51% Add BROADCOM INC AVGO
1.42% 1.39% $647.2M 1.7M $568.1M 1.8M -122,215 -6.66% Reduce V VANGUARD INDEX FDS VOO
1.38% 1.38% $630.5M 918,601 $564.5M 944,624 -26,023 -2.75% Reduce MICRON TECHNOLOGY INC MU
1.36% 0.44% $619.5M 536,729 $179.0M 529,847 +6,882 +1.30% Add A Alphabet Inc Class C GOOG
1.34% 1.26% $612.0M 1.7M $517.5M 1.8M -71,895 -3.98% Reduce SUNCOR ENERGY INC NEW SU
1.29% 1.85% $588.3M 10.9M $756.8M 11.4M -526,699 -4.61% Reduce Tc Energy Corp COMMON TRP
1.28% 1.42% $584.1M 8.8M $581.7M 9.3M -483,671 -5.20% Reduce SHOPIFY INC SHOP
1.08% 1.25% $493.8M 4.3M $511.1M 4.3M +2,708 +0.06% Add CANADIAN PACIFIC KANSAS CITY CP
1.07% 1.27% $488.3M 5.6M $521.5M 6.6M -992,828 -15.01% Reduce META PLATFORMS INC META
1.03% 1.21% $469.9M 834,297 $494.4M 864,063 -29,766 -3.44% Reduce TESLA INC TSLA
1.02% 1.03% $465.4M 1.1M $420.4M 1.1M -24,259 -2.14% Reduce ADVANCED MICRO DEVICES INC AMD
1% 0.39% $454.1M 781,657 $160.2M 787,604 -5,947 -0.76% Reduce TECK RESOURCES LTD TECK
0.88% 0.85% $403.5M 6.8M $347.9M 6.7M +49,576 +0.74% Add V VANGUARD INTL EQUITY INDEX F VEU
0.87% 0.89% $395.5M 4.7M $364.8M 4.9M -134,422 -2.77% Reduce C CENOVUS ENERGY INC COM CVE
0.83% 1.08% $379.2M 15.3M $441.2M 16.6M -1.4M -8.21% Reduce ELI LILLY & CO LLY
0.74% 0.68% $339.4M 282,998 $278.1M 302,417 -19,419 -6.42% Reduce INTEL CORP INTC
0.7% 0.25% $318.4M 2.3M $103.5M 2.3M -65,657 -2.80% Reduce SUN LIFE FINANCIAL INC. SLF
0.66% 0.21% $300.9M 3.8M $84.9M 1.4M +2.5M +182.56% Add WHEATON PRECIOUS METALS CORP WPM
0.62% 0.89% $281.5M 2.5M $364.9M 2.8M -281,961 -10.17% Reduce APPLIED MATLS INC AMAT
0.61% 0.32% $278.8M 385,950 $132.4M 387,754 -1,804 -0.47% Reduce GFL ENVIRONMENTAL INC GFL
0.6% 0.62% $275.6M 7.5M $255.5M 6.1M +1.4M +22.17% Add KINROSS GOLD CORP KGC
0.6% 1% $275.3M 11.6M $409.9M 13.4M -1.8M -13.49% Reduce CAMECO CORP CCJ
0.59% 0.96% $268.8M 2.6M $392.4M 3.6M -977,969 -27.13% Reduce LAM RESEARCH CORP LRCX
0.59% 0.32% $267.1M 616,415 $129.8M 607,682 +8,733 +1.44% Add JPMORGAN CHASE & CO JPM
0.56% 0.61% $257.5M 786,840 $249.5M 848,457 -61,617 -7.26% Reduce B BROOKFIELD ASSET MANAGEMENT LTD CLASS A LTD VOTING SHS ISIN #CA1130041058 SEDOL #BPCPYH2 MAGY
0.56% 0.58% $256.7M 5.7M $235.4M 5.3M +418,467 +7.92% Add WALMART INC WMT
0.56% 0.69% $255.8M 2.3M $281.9M 2.3M -9,623 -0.42% Reduce JOHNSON & JOHNSON JNJ
0.55% 0.54% $252.6M 994,831 $219.2M 896,826 +98,005 +10.93% Add BERKSHIRE HATHAWAY INC DEL BRK.B
0.51% 0.56% $232.9M 465,608 $227.8M 475,501 -9,893 -2.08% Reduce H HUDBAY MINERALS INC HBM
0.46% 0.52% $209.4M 8.9M $214.1M 10.2M -1.4M -13.48% Reduce EXXON MOBIL CORP XOM
0.43% 0.58% $197.9M 1.4M $239.0M 1.4M +38,721 +2.75% Add BROOKFIELD INFRASTRUC LP BIP
0.43% 0.59% $195.7M 5.4M $242.0M 6.7M -1.4M -20.23% Reduce CISCO SYS INC CSCO
0.43% 0.33% $194.2M 1.7M $134.2M 1.7M -76,569 -4.43% Reduce UNITEDHEALTH GROUP INC UNH
0.41% 0.31% $189.0M 454,834 $126.0M 465,868 -11,034 -2.37% Reduce