Universe · entity
PUBLIC SECTOR PENSION INVESTMENT BOARD
Institutional manager (13F) · CIK 1396318
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $16.8B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | NVIDIA CORPORATION | $1.6B | 9,244,796 |
| 2 | MICROSOFT CORP | $1.6B | 4,196,827 |
| 3 | APPLE INC | $1.2B | 4,617,098 |
| 4 | ALPHABET INC | $882M | 3,066,104 |
| 5 | AMAZON COM INC | $848M | 4,069,336 |
| 6 | BROADCOM INC | $683M | 2,208,180 |
| 7 | TELESAT CORP | $659M | 18,211,203 |
| 8 | CANADIAN IMPERIAL BANK OF CO | $592M | 6,242,590 |
| 9 | META PLATFORMS INC | $443M | 773,901 |
| 10 | JPMORGAN CHASE & CO | $429M | 1,457,721 |
| 11 | ASTRAZENECA PLC | $415M | 2,087,084 |
| 12 | ROYAL BK CDA | $387M | 2,396,327 |
| 13 | ELI LILLY & CO | $383M | 416,347 |
| 14 | BERKSHIRE HATHAWAY INC DEL | $332M | 692,591 |
| 15 | TESLA INC | $310M | 834,409 |
| 16 | VISA INC | $276M | 914,489 |
| 17 | TORONTO DOMINION BK ONT | $274M | 2,931,884 |
| 18 | ABBVIE INC | $256M | 1,176,043 |
| 19 | ALPHABET INC | $252M | 878,134 |
| 20 | EXXON MOBIL CORP | $234M | 1,380,382 |
| 21 | NETFLIX INC. | $222M | 2,313,927 |
| 22 | MASTERCARD INCORPORATED | $221M | 442,308 |
| 23 | UNION PAC CORP | $215M | 886,914 |
| 24 | GOLDMAN SACHS GROUP INC | $205M | 241,976 |
| 25 | ANALOG DEVICES INC | $199M | 624,976 |
| 26 | EATON CORP PLC | $188M | 524,798 |
| 27 | CONSTELLATION ENERGY CORP | $187M | 667,988 |
| 28 | T-MOBILE US INC | $179M | 852,658 |
| 29 | TOTALENERGIES SE | $178M | 1,945,145 |
| 30 | AUTOZONE INC | $175M | 51,740 |
| 31 | MOTOROLA SOLUTIONS INC | $165M | 380,583 |
| 32 | APPLIED MATLS INC | $158M | 462,134 |
| 33 | UNITED RENTALS INC | $153M | 210,478 |
| 34 | TJX COS INC NEW | $153M | 958,303 |
| 35 | MCKESSON CORP | $152M | 175,821 |
| 36 | BANK MONTREAL MEDIUM | $151M | 1,115,513 |
| 37 | PARKER-HANNIFIN CORP | $151M | 168,125 |
| 38 | COCA COLA CO | $148M | 1,949,253 |
| 39 | MICRON TECHNOLOGY INC | $147M | 434,759 |
| 40 | BANK AMERICA CORP | $141M | 2,887,429 |
| 41 | ABBOTT LABORATORIES | $141M | 1,370,055 |
| 42 | BANK NOVA SCOTIA B C | $141M | 2,025,894 |
| 43 | ORACLE CORP | $137M | 933,840 |
| 44 | WW GRAINGER INC | $131M | 119,880 |
| 45 | BOSTON SCIENTIFIC CORP | $130M | 2,077,623 |
| 46 | JOHNSON & JOHNSON | $130M | 532,305 |
| 47 | TEXAS INSTRS INC | $129M | 662,294 |
| 48 | TELEDYNE TECHNOLOGIES INC | $125M | 205,852 |
| 49 | CHEVRON CORPORATION | $124M | 601,183 |
| 50 | HILTON WORLDWIDE HLDGS INC | $114M | 376,480 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.