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
#IssuerValueShares
1NVIDIA CORPORATION$3.3B18,873,847
2JPMORGAN CHASE & CO$2.0B6,944,004
3APPLE INC$1.9B7,658,024
4CANADIAN NAT RES LTD MED TER$1.8B37,457,500
5ISHARES TR$1.7B2,646,824
6STATE STR SPDR S&P 500 ETF T$1.7B2,589,197
7INVESCO QQQ TR$1.4B2,475,000
8ALPHABET INC$1.3B4,547,907
9SPDR SERIES TRUST$1.2B9,745,500
10ISHARES TR$1.2B4,680,000
11META PLATFORMS INC$1.1B1,899,222
12MICROSOFT CORP$1.0B2,726,343
13BROADCOM INC$935M3,022,127
14TESLA INC$688M1,849,918
15TORONTO DOMINION BK ONT$604M6,470,416
16ROYAL BK CDA$603M3,734,189
17WALMART INC$587M4,722,474
18SPDR SERIES TRUST$581M7,221,000
19BANK AMERICA CORP$575M11,797,936
20ALPHABET INC$566M1,973,424
21SUNCOR ENERGY INC NEW$513M7,758,650
22SPDR SERIES TRUST$490M7,514,000
23BANK MONTREAL MEDIUM$473M3,495,672
24ABBVIE INC$456M2,095,979
25COSTCO WHOLESALE CORPORATION$445M446,187
26MASTERCARD INCORPORATED$432M864,125
27SELECT SECTOR SPDR TR$413M2,553,000
28MANULIFE FINL CORP$403M11,702,230
29BANK NOVA SCOTIA B C$384M5,539,629
30MICRON TECHNOLOGY INC$384M1,135,685
31AMERICAN EXPRESS CO$374M1,236,438
32CISCO SYS INC$362M4,670,052
33TC ENERGY CORP$354M5,654,803
34VERIZON COMMUNICATIONS INC$354M7,041,869
35AMAZON COM INC$341M1,635,609
36INVESCO EXCHANGE TRADED FD T$336M1,750,000
37COMCAST CORP NEW$334M11,616,490
38CANADIAN IMPERIAL BANK OF CO$321M3,389,515
39KLA CORP$312M211,610
40ANALOG DEVICES INC$302M949,794
41JOHNSON & JOHNSON$300M1,227,947
42BOOKING HOLDINGS INC$286M68,013
43UBER TECHNOLOGIES INC$274M3,804,271
44SPDR SERIES TRUST$273M1,500,000
45LINDE PLC$269M542,959
46SCHWAB CHARLES CORP$262M2,786,512
47MORGAN STANLEY$257M1,562,523
48BERKSHIRE HATHAWAY INC DEL$256M534,484
49CONOCOPHILLIPS$250M1,893,340
50LOWES COS INC$244M1,033,232
All filings on EDGAR ↗

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