0002022297-25-000001
Federation des caisses Desjardins du Quebec
Total Value: $19,637,562,571
Total Holdings: 3786
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
ROYAL BK CDACommon Stock780087102$1,471,614,64212,235,896DFND
MICROSOFT CORPCommon Stock594918104$561,890,6961,333,289DFND
TORONTO DOMINION BK ONTCommon Stock891160509$527,603,0099,932,067DFND
BANK NOVA SCOTIA HALIFAXCommon Stock064149107$502,545,9139,384,370DFND
BROOKFIELD CORPCommon Stock11271J107$486,469,8778,515,641DFND
BANK MONTREAL QUECommon Stock063671101$476,406,5564,927,693DFND
APPLE INCCommon Stock037833100$464,647,6131,855,642DFND
CGI INCCommon Stock12532H104$438,755,6184,026,108DFND
AMAZON COM INCCommon Stock023135106$401,344,1591,829,575DFND
SUNCOR ENERGY INC NEWCommon Stock867224107$394,863,30911,110,546DFND
SUN LIFE FINANCIAL INC.Common Stock866796105$379,314,5676,413,201DFND
NVIDIA CORPORATIONCommon Stock67066G104$361,051,7232,689,131DFND
CANADIAN PACIFIC KANSAS CITYCommon Stock13646K108$343,022,6714,751,631DFND
MANULIFE FINL CORPCommon Stock56501R106$307,946,94610,055,216DFND
TELUS CORPORATIONCommon Stock87971M103$283,270,32620,960,730DFND
ENBRIDGE INCCommon Stock29250N105$281,496,2626,653,458DFND
CANADIAN NATL RY COCommon Stock136375102$252,547,4232,502,096DFND
CANADIAN IMPERIAL BK COMMCommon Stock136069101$244,457,8163,882,007DFND
ALPHABET INCCommon Stock02079K305$238,646,0301,260,981DFND
TC ENERGY CORPCommon Stock87807B107$229,598,3574,947,530DFND
ALPHABET INCCommon Stock02079K107$191,335,7791,004,787DFND
BERKSHIRE HATHAWAY INC DELCommon Stock084670702$184,800,443407,696DFND
VISA INCCommon Stock92826C839$183,293,627580,064DFND
ISHARES INCExchange Traded Fund Share46434G103$182,809,4793,500,756DFND
TFI INTL INCCommon Stock87241L109$182,548,8961,360,421DFND
META PLATFORMS INCCommon Stock30303M102$167,317,115285,860DFND
SHOPIFY INCCommon Stock82509L107$165,082,8151,558,737DFND
ISHARES TRExchange Traded Fund Share464288257$164,972,3501,404,020DFND
NUTRIEN LTDCommon Stock67077M108$160,094,7273,592,636DFND
ISHARES TRExchange Traded Fund Share464287200$148,969,795253,038DFND
SPROTT PHYSICAL SILVER TRCommon Stock85207K107$143,881,62414,944,264DFND
ISHARES TRExchange Traded Fund Share464287804$142,400,0521,235,897DFND
MAGNA INTL INCCommon Stock559222401$140,273,0303,372,608DFND
VANGUARD INDEX FDSExchange Traded Fund Share922908363$138,914,628257,818DFND
CANADIAN NAT RES LTDCommon Stock136385101$135,118,1744,393,528DFND
JPMORGAN CHASE & CO.Common Stock46625H100$131,905,557550,301DFND
BCE INCCommon Stock05534B760$126,604,7535,477,452DFND
UNITEDHEALTH GROUP INCCommon Stock91324P102$120,758,079238,747DFND
MASTERCARD INCORPORATEDCommon Stock57636Q104$116,647,582221,551DFND
CAMECO CORPCommon Stock13321L108$114,299,9302,233,115DFND
SPROTT PHYSICAL GOLD TRCommon Stock85207H104$107,607,3585,352,974DFND
TESLA INCCommon Stock88160R101$102,189,760253,070DFND
JOHNSON & JOHNSONCommon Stock478160104$101,693,417703,185DFND
COSTCO WHSL CORP NEWCommon Stock22160K105$101,124,517110,369DFND
BROADCOM INCCommon Stock11135F101$99,636,099429,842DFND
PEMBINA PIPELINE CORPCommon Stock706327103$97,452,3202,643,491DFND
WALMART INCCommon Stock931142103$89,451,834990,102DFND
BANK AMERICA CORPCommon Stock060505104$89,137,2212,028,243DFND
RESTAURANT BRANDS INTL INCCommon Stock76131D103$80,915,5761,246,777DFND
TECK RESOURCES LTDCLASS B878742204$77,029,8591,906,660DFND