Universe · entity

Genus Capital Management Inc.

Institutional manager (13F) · CIK 1532385
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $590M
#IssuerValueShares
1NVIDIA CORPORATION$40M230,206
2TORONTO DOMINION BK ONT$24M260,428
3ROYAL BK CDA$24M148,460
4ISHARES TR$21M932,927
5VERIZON COMMUNICATIONS INC$19M375,122
6CISCO SYS INC$18M232,894
7APPLE INC$17M66,482
8GILEAD SCIENCES INC$17M119,280
9ISHARES TR$17M167,450
10NUTRIEN LTD$16M212,816
11AMGEN INC$16M44,427
12CORNING INC$16M114,106
13BANK MONTREAL MEDIUM$15M112,448
14AGNICO EAGLE MINES LTD$15M74,132
15JOHNSON & JOHNSON$14M55,935
16ISHARES TR$13M122,861
17SUNCOR ENERGY INC NEW$13M200,671
18BANK NEW YORK MELLON CORP$13M106,677
19INTERNATIONAL BUSINESS MACHS$12M51,374
20MERCK & CO INC$12M102,986
21GE VERNOVA INC$11M12,932
22VALERO ENERGY CORP$10M42,200
23CANADIAN IMPERIAL BANK OF CO$10M107,891
24ANALOG DEVICES INC$10M31,326
25KLA CORP$10M6,528
26ULTA BEAUTY INC$9M17,426
27MAGNA INTL INC$9M160,747
28LAM RESEARCH CORP$9M41,558
29TARGET CORP$9M72,860
30HCA HEALTHCARE INC$8M17,841
31US BANCORP$8M157,460
32KINROSS GOLD CORP$8M268,110
33ADVANCED MICRO DEVICES INC$8M39,720
34MANULIFE FINL CORP$8M232,240
35SEAGATE TECHNOLOGY HLDNGS PL$8M19,525
36ISHARES TR$7M93,339
37MICRON TECHNOLOGY INC$7M21,521
38TEXAS INSTRS INC$7M37,331
39TRAVELERS COMPANIES INC$7M24,772
40ISHARES TR$7M76,810
41TECHNIPFMC PLC$7M104,000
42CELESTICA INC$7M25,345
43SPDR SERIES TRUST$7M76,223
44MARVELL TECHNOLOGY INC$7M69,330
45ALPHABET INC$7M23,912
46GILDAN ACTIVEWEAR INC$7M123,349
47WALMART INC$6M51,010
48VERTIV HOLDINGS CO$6M24,257
49ECOLAB INC$6M21,447
50VANGUARD INDEX FDS$6M9,406
All filings on EDGAR ↗

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