Universe · entity

Fiera Capital Corp

Institutional manager (13F) · CIK 1505817
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $21.7B
#IssuerValueShares
1TAIWAN SEMICONDUCTOR MANUFAC$1.8B5,210,034
2ALPHABET INC$1.6B5,632,241
3MICROSOFT CORP$1.2B3,289,871
4MOODYS CORP$1.0B2,356,454
5MASTERCARD INCORPORATED$934M1,869,288
6AUTOZONE INC$882M261,043
7CME GROUP INC$794M2,687,105
8TJX COS INC NEW$753M4,716,647
9ROYAL BK CDA$681M4,220,026
10CANADIAN NATL RY CO$636M6,191,510
11SHERWIN WILLIAMS CO$569M1,775,226
12JOHNSON & JOHNSON$548M2,240,155
13MSCI INC$529M981,698
14RESTAURANT BRANDS INTL INC$494M6,692,221
15BANK MONTREAL MEDIUM$471M3,486,620
16CANADIAN PACIFIC KANSAS CITY$464M5,905,413
17INVESCO QQQ TR$439M761,153
18PEPSICO INC$422M2,715,499
19WASTE CONNECTIONS INC$413M2,547,069
20METTLER TOLEDO INTERNATIONAL$396M314,354
21CARRIER GLOBAL CORPORATION$375M6,666,102
22LINDE PLC$375M756,862
23OTIS WORLDWIDE CORP$375M4,866,896
24CGI INC$366M5,019,479
25RB GLOBAL INC$353M3,692,061
26GRACO INC$333M3,938,901
27COPART INC$299M9,012,247
28ROGERS COMMUNICATIONS INC$286M7,437,822
29AMAZON COM INC$268M1,287,850
30UNITEDHEALTH GROUP INC$243M898,935
31SUNCOR ENERGY INC NEW$224M3,386,302
32VANGUARD INDEX FDS$220M368,608
33CANADIAN NAT RES LTD MED TER$216M4,437,467
34TELUS CORPORATION$209M16,258,624
35S&P GLOBAL INC$203M476,622
36THOMSON REUTERS CORP$192M2,133,045
37ANALOG DEVICES INC$181M568,658
38AON PLC$178M550,287
39STANTEC INC$174M2,016,034
40INSMED INC$167M1,021,970
41ARGENX SE$159M217,198
42HILTON WORLDWIDE HLDGS INC$157M516,571
43ALCON AG$155M2,060,804
44BWX TECHNOLOGIES INC$149M729,269
45SUN LIFE FINANCIAL INC.$144M2,301,995
46LOWES COS INC$141M594,741
47APPLE INC$139M549,008
48CURTISS WRIGHT CORP$139M204,498
49VISA INC$125M412,263
50JFROG LTD$109M2,326,298
All filings on EDGAR ↗

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