Universe · entity
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND
Institutional manager (13F) · CIK 1535845
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $35.3B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | NVIDIA CORPORATION | $3.3B | 18,873,847 |
| 2 | JPMORGAN CHASE & CO | $2.0B | 6,944,004 |
| 3 | APPLE INC | $1.9B | 7,658,024 |
| 4 | CANADIAN NAT RES LTD MED TER | $1.8B | 37,457,500 |
| 5 | ISHARES TR | $1.7B | 2,646,824 |
| 6 | STATE STR SPDR S&P 500 ETF T | $1.7B | 2,589,197 |
| 7 | INVESCO QQQ TR | $1.4B | 2,475,000 |
| 8 | ALPHABET INC | $1.3B | 4,547,907 |
| 9 | SPDR SERIES TRUST | $1.2B | 9,745,500 |
| 10 | ISHARES TR | $1.2B | 4,680,000 |
| 11 | META PLATFORMS INC | $1.1B | 1,899,222 |
| 12 | MICROSOFT CORP | $1.0B | 2,726,343 |
| 13 | BROADCOM INC | $935M | 3,022,127 |
| 14 | TESLA INC | $688M | 1,849,918 |
| 15 | TORONTO DOMINION BK ONT | $604M | 6,470,416 |
| 16 | ROYAL BK CDA | $603M | 3,734,189 |
| 17 | WALMART INC | $587M | 4,722,474 |
| 18 | SPDR SERIES TRUST | $581M | 7,221,000 |
| 19 | BANK AMERICA CORP | $575M | 11,797,936 |
| 20 | ALPHABET INC | $566M | 1,973,424 |
| 21 | SUNCOR ENERGY INC NEW | $513M | 7,758,650 |
| 22 | SPDR SERIES TRUST | $490M | 7,514,000 |
| 23 | BANK MONTREAL MEDIUM | $473M | 3,495,672 |
| 24 | ABBVIE INC | $456M | 2,095,979 |
| 25 | COSTCO WHOLESALE CORPORATION | $445M | 446,187 |
| 26 | MASTERCARD INCORPORATED | $432M | 864,125 |
| 27 | SELECT SECTOR SPDR TR | $413M | 2,553,000 |
| 28 | MANULIFE FINL CORP | $403M | 11,702,230 |
| 29 | BANK NOVA SCOTIA B C | $384M | 5,539,629 |
| 30 | MICRON TECHNOLOGY INC | $384M | 1,135,685 |
| 31 | AMERICAN EXPRESS CO | $374M | 1,236,438 |
| 32 | CISCO SYS INC | $362M | 4,670,052 |
| 33 | TC ENERGY CORP | $354M | 5,654,803 |
| 34 | VERIZON COMMUNICATIONS INC | $354M | 7,041,869 |
| 35 | AMAZON COM INC | $341M | 1,635,609 |
| 36 | INVESCO EXCHANGE TRADED FD T | $336M | 1,750,000 |
| 37 | COMCAST CORP NEW | $334M | 11,616,490 |
| 38 | CANADIAN IMPERIAL BANK OF CO | $321M | 3,389,515 |
| 39 | KLA CORP | $312M | 211,610 |
| 40 | ANALOG DEVICES INC | $302M | 949,794 |
| 41 | JOHNSON & JOHNSON | $300M | 1,227,947 |
| 42 | BOOKING HOLDINGS INC | $286M | 68,013 |
| 43 | UBER TECHNOLOGIES INC | $274M | 3,804,271 |
| 44 | SPDR SERIES TRUST | $273M | 1,500,000 |
| 45 | LINDE PLC | $269M | 542,959 |
| 46 | SCHWAB CHARLES CORP | $262M | 2,786,512 |
| 47 | MORGAN STANLEY | $257M | 1,562,523 |
| 48 | BERKSHIRE HATHAWAY INC DEL | $256M | 534,484 |
| 49 | CONOCOPHILLIPS | $250M | 1,893,340 |
| 50 | LOWES COS INC | $244M | 1,033,232 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.