0002022297-25-000001
Federation des caisses Desjardins du Quebec
Total Value: $19,637,562,571
Total Holdings: 3786
| Quarter | Filling ID |
|---|---|
| Q4 25 | 0002002654-26-000001 |
| Q3 25 | 0002002654-25-000006 |
| Q2 25 | 0002002654-25-000004 |
| Q1 25 | 0002002654-25-000003 |
| Q4 24 | 0002002654-25-000001 |
| Q3 24 | 0002002654-24-000005 |
| Q2 24 | 0002002654-24-000004 |
| Q1 24 | 0002002654-24-000002 |
| Q4 23 | 0002002654-24-000001 |
| Q3 23 | 0002002654-23-000008 |
| Q2 23 | 0002002654-23-000007 |
| Q1 23 | 0002002654-23-000006 |
| Q4 22 | 0002002654-23-000005 |
| Q3 22 | 0002002654-23-000004 |
| Q2 22 | 0002002654-23-000003 |
| Q1 22 | 0002002654-23-000002 |
| Q4 21 | 0002002654-23-000001 |
| Name | Title | CUSIP | Ticker | Value | Shares | Share Price | Investment | % of Portfolio |
|---|---|---|---|---|---|---|---|---|
| ROYAL BK CDA | Common Stock | 780087102 | $1,471,614,642 | 12,235,896 | DFND | |||
| MICROSOFT CORP | Common Stock | 594918104 | $561,890,696 | 1,333,289 | DFND | |||
| TORONTO DOMINION BK ONT | Common Stock | 891160509 | $527,603,009 | 9,932,067 | DFND | |||
| BANK NOVA SCOTIA HALIFAX | Common Stock | 064149107 | $502,545,913 | 9,384,370 | DFND | |||
| BROOKFIELD CORP | Common Stock | 11271J107 | $486,469,877 | 8,515,641 | DFND | |||
| BANK MONTREAL QUE | Common Stock | 063671101 | $476,406,556 | 4,927,693 | DFND | |||
| APPLE INC | Common Stock | 037833100 | $464,647,613 | 1,855,642 | DFND | |||
| CGI INC | Common Stock | 12532H104 | $438,755,618 | 4,026,108 | DFND | |||
| AMAZON COM INC | Common Stock | 023135106 | $401,344,159 | 1,829,575 | DFND | |||
| SUNCOR ENERGY INC NEW | Common Stock | 867224107 | $394,863,309 | 11,110,546 | DFND | |||
| SUN LIFE FINANCIAL INC. | Common Stock | 866796105 | $379,314,567 | 6,413,201 | DFND | |||
| NVIDIA CORPORATION | Common Stock | 67066G104 | $361,051,723 | 2,689,131 | DFND | |||
| CANADIAN PACIFIC KANSAS CITY | Common Stock | 13646K108 | $343,022,671 | 4,751,631 | DFND | |||
| MANULIFE FINL CORP | Common Stock | 56501R106 | $307,946,946 | 10,055,216 | DFND | |||
| TELUS CORPORATION | Common Stock | 87971M103 | $283,270,326 | 20,960,730 | DFND | |||
| ENBRIDGE INC | Common Stock | 29250N105 | $281,496,262 | 6,653,458 | DFND | |||
| CANADIAN NATL RY CO | Common Stock | 136375102 | $252,547,423 | 2,502,096 | DFND | |||
| CANADIAN IMPERIAL BK COMM | Common Stock | 136069101 | $244,457,816 | 3,882,007 | DFND | |||
| ALPHABET INC | Common Stock | 02079K305 | $238,646,030 | 1,260,981 | DFND | |||
| TC ENERGY CORP | Common Stock | 87807B107 | $229,598,357 | 4,947,530 | DFND | |||
| ALPHABET INC | Common Stock | 02079K107 | $191,335,779 | 1,004,787 | DFND | |||
| BERKSHIRE HATHAWAY INC DEL | Common Stock | 084670702 | $184,800,443 | 407,696 | DFND | |||
| VISA INC | Common Stock | 92826C839 | $183,293,627 | 580,064 | DFND | |||
| ISHARES INC | Exchange Traded Fund Share | 46434G103 | $182,809,479 | 3,500,756 | DFND | |||
| TFI INTL INC | Common Stock | 87241L109 | $182,548,896 | 1,360,421 | DFND | |||
| META PLATFORMS INC | Common Stock | 30303M102 | $167,317,115 | 285,860 | DFND | |||
| SHOPIFY INC | Common Stock | 82509L107 | $165,082,815 | 1,558,737 | DFND | |||
| ISHARES TR | Exchange Traded Fund Share | 464288257 | $164,972,350 | 1,404,020 | DFND | |||
| NUTRIEN LTD | Common Stock | 67077M108 | $160,094,727 | 3,592,636 | DFND | |||
| ISHARES TR | Exchange Traded Fund Share | 464287200 | $148,969,795 | 253,038 | DFND | |||
| SPROTT PHYSICAL SILVER TR | Common Stock | 85207K107 | $143,881,624 | 14,944,264 | DFND | |||
| ISHARES TR | Exchange Traded Fund Share | 464287804 | $142,400,052 | 1,235,897 | DFND | |||
| MAGNA INTL INC | Common Stock | 559222401 | $140,273,030 | 3,372,608 | DFND | |||
| VANGUARD INDEX FDS | Exchange Traded Fund Share | 922908363 | $138,914,628 | 257,818 | DFND | |||
| CANADIAN NAT RES LTD | Common Stock | 136385101 | $135,118,174 | 4,393,528 | DFND | |||
| JPMORGAN CHASE & CO. | Common Stock | 46625H100 | $131,905,557 | 550,301 | DFND | |||
| BCE INC | Common Stock | 05534B760 | $126,604,753 | 5,477,452 | DFND | |||
| UNITEDHEALTH GROUP INC | Common Stock | 91324P102 | $120,758,079 | 238,747 | DFND | |||
| MASTERCARD INCORPORATED | Common Stock | 57636Q104 | $116,647,582 | 221,551 | DFND | |||
| CAMECO CORP | Common Stock | 13321L108 | $114,299,930 | 2,233,115 | DFND | |||
| SPROTT PHYSICAL GOLD TR | Common Stock | 85207H104 | $107,607,358 | 5,352,974 | DFND | |||
| TESLA INC | Common Stock | 88160R101 | $102,189,760 | 253,070 | DFND | |||
| JOHNSON & JOHNSON | Common Stock | 478160104 | $101,693,417 | 703,185 | DFND | |||
| COSTCO WHSL CORP NEW | Common Stock | 22160K105 | $101,124,517 | 110,369 | DFND | |||
| BROADCOM INC | Common Stock | 11135F101 | $99,636,099 | 429,842 | DFND | |||
| PEMBINA PIPELINE CORP | Common Stock | 706327103 | $97,452,320 | 2,643,491 | DFND | |||
| WALMART INC | Common Stock | 931142103 | $89,451,834 | 990,102 | DFND | |||
| BANK AMERICA CORP | Common Stock | 060505104 | $89,137,221 | 2,028,243 | DFND | |||
| RESTAURANT BRANDS INTL INC | Common Stock | 76131D103 | $80,915,576 | 1,246,777 | DFND | |||
| TECK RESOURCES LTD | CLASS B | 878742204 | $77,029,859 | 1,906,660 | DFND |