0002022297-24-000001
Federation des caisses Desjardins du Quebec
Total Value: $13,847,513,846
Total Holdings: 3850
QuarterFilling ID
Q4 250002002654-26-000001
Q3 250002002654-25-000006
Q2 250002002654-25-000004
Q1 250002002654-25-000003
Q4 240002002654-25-000001
Q3 240002002654-24-000005
Q2 240002002654-24-000004
Q1 240002002654-24-000002
Q4 230002002654-24-000001
Q3 230002002654-23-000008
Q2 230002002654-23-000007
Q1 230002002654-23-000006
Q4 220002002654-23-000005
Q3 220002002654-23-000004
Q2 220002002654-23-000003
Q1 220002002654-23-000002
Q4 210002002654-23-000001
Compare Quarter:
NameTitleCUSIPTickerValueSharesShare PriceInvestment% of Portfolio
BANQUE ROYALE DU CANADACommon Stock780087102$563,434,4154,136,492DFND
MICROSOFT CORPCommon Stock594918104$455,184,8521,102,067DFND
BANQUE TORONTO-DOMINIONCommon Stock891160509$448,143,6465,466,660DFND
VANGUARD 500 INDX ETF-NEWExchange Traded Fund Share922908363$335,213,238697,534DFND
BANQUE DE NOUVELLE-ECOSSECommon Stock64149107$334,054,5584,773,418DFND
BANK OF MONTREALCommon Stock63671101$281,914,7532,136,109DFND
BROOKFIELD CORP CL-A LVSCommon Stock11271J107$244,463,1564,344,749DFND
APPLECommon Stock37833100$235,731,9631,358,778DFND
SUN LIFE FINANCIAL INCCommon Stock866796105$234,095,2003,185,999DFND
TELUS CORPCommon Stock87971M103$219,179,14010,096,473DFND
CDN NATL RAILWAYCommon Stock136375102$204,443,8471,161,914DFND
CGI INCCLASS A12532H104$195,183,7071,311,888DFND
ALPHABET ACommon Stock02079K305$191,716,1651,297,360DFND
FINANCIERE MANUVIE CORPCommon Stock56501R106$186,292,7885,555,346DFND
SUNCOR ENERGY INC NEWCommon Stock867224107$177,938,8893,584,898DFND
AMAZON.COM INC.Common Stock23135106$176,197,1391,004,978DFND
BERKSHIRE HATHAWAY-B-NEWCommon Stock84670702$158,549,076377,031DFND
NVIDIA CORPCommon Stock67066G104$154,935,667191,517DFND
ISHARES CORE S&P 500 ETFExchange Traded Fund Share464287200$147,715,274280,982DFND
TFI INTERNATIONAL INCCommon Stock87241L109$146,747,570685,527DFND
ALPHABET CCommon Stock02079K107$145,038,882959,659DFND
VISA ACommon Stock92826C839$143,403,266521,359DFND
CANADIAN PAC KANSAS CITYCommon Stock13646K108$137,502,6721,174,333DFND
BCE INCCommon Stock05534B760$127,989,6112,753,057DFND
META PLATFORMS INC CL-ACommon Stock30303M102$125,217,381286,684DFND
NUTRIEN LTDCommon Stock67077M108$120,844,3231,644,160DFND
ISHARES CORE S&P SML-CAPExchange Traded Fund Share464287804$120,830,8531,093,294DFND
BNQ CDN IMPERIALE DE COMMCommon Stock136069101$111,984,7391,643,984DFND
CDN NATURAL RESCommon Stock136385101$110,944,9891,115,318DFND
ENBRIDGE INCCommon Stock29250N105$106,144,8282,178,677DFND
MAGNA INTL INCCommon Stock559222401$102,884,2381,394,300DFND
ISHARES CORE MSCI EMG MKTExchange Traded Fund Share46434G103$99,195,2721,922,389DFND
JP MORGAN CHASE & COCommon Stock46625H100$98,358,360495,646DFND
TC ENERGY CORPCommon Stock87807B107$94,715,9621,751,641DFND
SPROTT PHYSICAL SILVR T/UCommon Stock85207K107$90,709,2608,123,982DFND
CVS HEALTHCommon Stock126650100$89,209,4471,118,703DFND
MASTERCARD INC CL-ACommon Stock57636Q104$88,679,288187,964DFND
JOHNSON & JOHNSONCommon Stock478160104$88,003,492556,518DFND
UNITED HEALTH GROUP INCCommon Stock91324P102$86,701,876174,782DFND
CENOVUS ENERGY INCCommon Stock15135U109$86,256,0623,212,105DFND
DISNEY (WALT)Common Stock254687106$84,973,772694,861DFND
ROGERS COMMUNICATION-B NVCommon Stock775109200$77,861,1611,371,746DFND
COSTCO WHOLESALE CORPCommon Stock22160K105$77,252,032105,959DFND
SPROTT PHYSICAL GOLD T/UCommon Stock85207H104$74,460,7823,195,879DFND
ISHARES SHRT TREAS BD ETFExchange Traded Fund Share464288679$71,595,100647,685DFND
INVESCO QQQ TRUSTExchange Traded Fund Share46090E103$71,252,435160,488DFND
BANK OF AMERICA CORPCommon Stock60505104$68,468,0421,807,513DFND
ISHARES MSCI JAPAN ETFExchange Traded Fund Share46434G822$62,132,863870,818DFND
ISHARES RUSSELL 2000Exchange Traded Fund Share464287655$57,888,670275,278DFND
ZOETIS ACommon Stock98978V103$57,269,987335,088DFND