Universe · entity

CANADA LIFE ASSURANCE Co

Institutional manager (13F) · CIK 1046192
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $30M
#IssuerValueShares
1NVIDIA CORPORATION$3M19,142,430
2APPLE INC$3M12,054,898
3MICROSOFT CORP$2M6,417,356
4ALPHABET INC$2M5,718,040
5AMAZON COM INC$2M7,657,087
6META PLATFORMS INC$1M2,009,789
7BROADCOM INC$1M3,533,585
8ALPHABET INC$1M3,649,517
9TESLA INC$860k2,305,019
10EXXON MOBIL CORP$691k4,059,605
11JPMORGAN CHASE & CO$666k2,254,838
12JOHNSON & JOHNSON$630k2,567,817
13BERKSHIRE HATHAWAY INC DEL$604k1,255,631
14ELI LILLY & CO$582k630,459
15NETFLIX INC.$513k5,318,497
16VISA INC$484k1,597,380
17MASTERCARD INCORPORATED$479k954,844
18APPLIED MATLS INC$453k1,320,600
19HOME DEPOT INC$428k1,297,065
20CISCO SYS INC$426k5,468,374
21PROCTER & GAMBLE CO$389k2,682,140
22ABBVIE INC$380k1,742,412
23COSTCO WHOLESALE CORPORATION$369k369,044
24MERCK & CO INC$359k2,974,102
25MCDONALDS CORP$355k1,136,159
26TAIWAN SEMICONDUCTOR MANUFAC$344k1,014,626
27UNITEDHEALTH GROUP INC$312k1,147,966
28WELLTOWER INC$304k1,532,757
29PROLOGIS INC.$302k2,279,865
30ASTRAZENECA PLC$296k1,521,866
31MICRON TECHNOLOGY INC$292k861,504
32ADVANCED MICRO DEVICES INC$288k1,411,518
33COCA COLA CO$280k3,677,067
34STATE STR SPDR S&P 500 ETF T$279k427,133
35BOOKING HOLDINGS INC$263k62,249
36ORACLE CORP$263k1,780,056
37BANK AMERICA CORP$246k5,024,960
38PEPSICO INC$241k1,548,902
39GILEAD SCIENCES INC$234k1,675,983
40MARSH & MCLENNAN COS INC$233k1,337,344
41EQUINIX INC$233k237,072
42INTERNATIONAL BUSINESS MACHS$232k954,325
43CATERPILLAR INC$225k316,889
44EXELON CORP$222k4,508,595
45VERIZON COMMUNICATIONS INC$218k4,331,546
46S&P GLOBAL INC$216k505,359
47CRH PLC$204k1,978,071
48TJX COS INC NEW$204k1,272,699
49CHEVRON CORPORATION$203k977,659
50NIKE INC$199k3,757,946
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.