CIBC Asset Management Inc

Holdings as of 2026-06-30, filed 2026-08-03

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 34 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
1,428
Value reported by manager
$45.6B
Sum of our stored positions
$45.6B
should match the line above
Disclosure lag
34 d
quarter end to filing
Top 5 concentration
19.8%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
ROYAL BK CDACOM$2.1B10,212,043780087102
NVIDIA CORPORATIONCOM$1.6B8,241,53967066G104
TORONTO DOMINION BK ONTCOM NEW$1.5B12,662,025891160509
APPLE INCCOM$1.5B5,060,516037833100
BANK MONTREAL MEDIUMCOM$1.2B6,747,985063671101
MICROSOFT CORPCOM$967.6M2,594,215594918104
BANK NOVA SCOTIA B CCOM$938M10,757,318064149107
CANADIAN IMPERIAL BANK OF COCOM$843.9M7,342,841136069101
AMAZON COM INCCOM$820.7M3,444,029023135106
CANADIAN NATL RY COCOM$819.9M6,861,848136375102
AGNICO EAGLE MINES LTDCOM$768M4,931,978008474108
ENBRIDGE INCCOM$764M14,080,39829250N105
ALPHABET INCCAP STK CL A$746M2,087,47802079K305
MANULIFE FINL CORPCOM$715.5M17,576,61556501R106
BROOKFIELD CORPCL A LTD VT SH$672.3M15,748,76711271J107
BARRICK MNG CORPCOM SHS$668M18,114,28406849F108
CANADIAN NAT RES LTD MED TERCOM$662.9M16,720,694136385101
BROADCOM INCCOM$647.2M1,713,67611135F101
VANGUARD INDEX FDSS&P 500 ETF SHS$630.5M918,601922908363
MICRON TECHNOLOGY INCCOM$619.5M536,729595112103
ALPHABET INCCAP STK CL C$612M1,732,78202079K107
SUNCOR ENERGY INC NEWCOM$588.3M10,904,156867224107
TC ENERGY CORPCOM$584.1M8,815,17887807B107
SHOPIFY INCCL A SUB VTG SHS$493.8M4,308,18782509L107
CANADIAN PACIFIC KANSAS CITYCOM$488.3M5,620,14513646K108
META PLATFORMS INCCL A$469.9M834,29730303M102
TESLA INCCOM$465.4M1,106,75388160R101
ADVANCED MICRO DEVICES INCCOM$454.1M781,657007903107
TECK RESOURCES LTDCL B$403.5M6,750,017878742204
VANGUARD INTL EQUITY INDEX FALLWRLD EX US$395.5M4,722,854922042775
CENOVUS ENERGY INCCOM$379.2M15,264,42215135U109
ELI LILLY & COCOM$339.4M282,998532457108
INTEL CORPCOM$318.4M2,280,175458140100
SUN LIFE FINANCIAL INC.COM$300.9M3,839,581866796105
WHEATON PRECIOUS METALS CORPCOM$281.5M2,490,648962879102
APPLIED MATLS INCCOM$278.8M385,950038222105
GFL ENVIRONMENTAL INCSUB VTG SHS$275.6M7,494,24436168Q104
KINROSS GOLD CORPCOM$275.3M11,602,154496902404
CAMECO CORPCOM$268.8M2,626,31213321L108
LAM RESEARCH CORPCOM NEW$267.1M616,415512807306
JPMORGAN CHASE & COCOM$257.5M786,84046625H100
BROOKFIELD ASSET MANAGMT LTDCL A LMT VTG SHS$256.7M5,701,677113004105
WALMART INCCOM$255.8M2,258,642931142103
JOHNSON & JOHNSONCOM$252.6M994,831478160104
BERKSHIRE HATHAWAY INC DELCL B NEW$232.9M465,608084670702
HUDBAY MINERALS INCCOM$209.4M8,855,472443628102
EXXON MOBIL CORPCOM$197.9M1,447,68130231G102
BROOKFIELD INFRASTRUCTURE PALP INT UNIT$195.7M5,367,611G16252101
CISCO SYS INCCOM$194.2M1,653,03017275R102
UNITEDHEALTH GROUP INCCOM$189M454,83491324P102
ABBVIE INCCOM$188.1M747,31900287Y109
COSTCO WHOLESALE CORPORATIONCOM$184M196,77422160K105
VISA INCCOM CL A$177M516,28292826C839
FRANCO NEV CORPCOM$173.7M833,026351858105
KLA CORPCOM NEW$170.8M566,014482480100
PEMBINA PIPELINE CORPCOM$156.5M3,381,439706327103
TELUS CORPORATIONCOM$155.3M14,676,31487971M103
SANDISK CORPCOM$153.3M67,43180004C200
ALAMOS GOLD INCCOM CL A$152.3M5,010,402011532108
NETFLIX INC.COM$150.7M2,110,50964110L106
MERCK & CO INCCOM$148.5M1,155,66958933Y105
GILDAN ACTIVEWEAR INCCOM$144.4M2,777,963375916103
AMGEN INCCOM$143M394,840031162100
CELESTICA INCCOM$142.6M390,45415101Q207
PALO ALTO NETWORKS INCCOM$137.7M403,874697435105
FORTIS INCCOM$135.7M2,366,527349553107
CATERPILLAR INCCOM$135.3M127,048149123101
MAGNA INTL INCCOM$130.2M1,971,957559222401
MARVELL TECHNOLOGY INCCOM$129.4M434,434573874104
TEXAS INSTRS INCCOM$128.9M432,536882508104
PALANTIR TECHNOLOGIES INCCL A$127.5M1,093,09569608A108
FIRSTSERVICE CORP NEWCOM$122.4M861,42433767E202
LINDE PLCSHS$121.9M234,962G54950103
BROOKFIELD RENEWABLE ENERGYPARTNERSHIP UNIT$120.1M3,470,804G16258108
MASTERCARD INCORPORATEDCL A$119.5M232,68557636Q104
COCA COLA COCOM$117.8M1,450,290191216100
PROCTER & GAMBLE COCOM$113.4M773,239742718109
SEAGATE TECHNOLOGY HLDNGS PLORD SHS$111.1M115,174G7997R103
HOME DEPOT INCCOM$110.1M312,269437076102
PAN AMERN SILVER CORPCOM$109.3M2,441,826697900108
BANK OF AMER CORPCOM$108.1M1,898,216060505104
WESTERN DIGITAL CORPCOM$107.7M168,588958102105
THERMO FISHER SCIENTIFIC INCCOM$107.6M214,502883556102
QUALCOMM INCCOM$101.6M549,849747525103
CHEVRON CORPORATIONCOM$101.4M611,439166764100
COLLIERS INTL GROUP INCSUB VTG SHS$100M1,065,340194693107
PEPSICO INCCOM$98.4M726,686713448108
NUTRIEN LTDCOM$97.4M1,548,54667077M108
GE AEROSPACECOM NEW$95.7M256,111369604301
TFI INTERNATIONAL INCCOM$93.6M648,76987241L109
RB GLOBAL INCCOM$91.9M775,23074935Q107
ISHARES TRMSCI EAFE ETF$90.6M872,310464287465
WASTE CONNECTIONS INCCOM$90.1M536,57694106B101
MEDTRONIC PLCSHS$89.7M1,146,973G5960L103
ANALOG DEVICES INCCOM$88.8M223,465032654105
STATE STR SPDR S&P 500 ETF TTR UNIT$88.2M118,05378462F103
BOYD GROUP SERVICES INCCOM$87.9M927,785103310108
VERIZON COMMUNICATIONS INCCOM$86M2,031,50192343V104
PHILIP MORRIS INTL INCCOM$85.8M474,109718172109
INTERNATIONAL BUSINESS MACHSCOM$85.6M304,254459200101
GILEAD SCIENCES INCCOM$84M664,533375558103
GE VERNOVA INCCOM$83.8M71,33936828A101
CAE INCCOM$83.7M3,307,675124765108
GOLDMAN SACHS GROUP INCCOM$82.4M81,44338141G104
INTUITIVE SURGICAL INCCOM NEW$80.6M202,72046120E602
CROWDSTRIKE HLDGS INCCL A$80.2M105,06822788C105
INVESCO EXCH TRADED FD TR IISR LN ETF$75.7M3,713,83846138G508
APPLOVIN CORPCOM CL A$74.8M145,17503831W108
MCDONALDS CORPCOM$72M266,624580135101
MORGAN STANLEYCOM NEW$70.1M335,177617446448
WELLS FARGO & COCOM$69M834,650949746101
CITIGROUP INCCOM NEW$68M486,076172967424
RTX CORPORATIONCOM$67.9M358,03475513E101
ALTRIA GROUP INCCOM$67.8M942,76402209S103
ORACLE CORPCOM$66.6M454,53068389X105
ASML HLDG NVN Y REGISTRY SHS$64.8M32,736N07059210
T-MOBILE US INCCOM$64.8M386,043872590104
TJX COS INC NEWCOM$64M422,467872540109
DESCARTES SYS GROUP INCCOM$62.4M891,122249906108
RESTAURANT BRANDS INTL INCCOM$61.6M843,08776131D103
BOOKING HOLDINGS INCCOM$61.1M342,56309857L108
UNION PAC CORPCOM$61M224,268907818108
AMPHENOL CORPCL A$58.3M330,670032095101
INVESCO QQQ TRUNIT SER 1$58.1M78,90746090E103
DUKE ENERGY CORP NEWCOM NEW$57.8M456,32426441C204
PROGRESSIVE CORPCOM$56.5M258,513743315103
NEXTERA ENERGY INCCOM$55.4M631,43965339F101
AMERICAN ELEC PWR CO INCCOM$54.4M397,756025537101
AUTOMATIC DATA PROCESSING INCOM$54.1M241,673053015103
BLACKROCK INCCOM$52.6M54,74209290D101
AMERICAN EXPRESS COCOM$52.4M154,958025816109
VERTEX PHARMACEUTICALS INCCOM$51.8M104,29292532F100
STRYKER CORPORATIONCOM$51.4M163,353863667101
STARBUCKS CORPCOM$51.1M499,568855244109
MONDELEZ INTL INCCL A$51M882,212609207105
ABBOTT LABORATORIESCOM$50.6M558,208002824100
COMCAST CORP NEWCL A$50.1M2,040,79720030N101
BANK OF NY MELLON CORPCOM$48.9M337,949064058100
ARISTA NETWORKS INCCOM SHS$48.7M286,443040413205
CORNING INCCOM$47.9M187,409219350105
CONOCOPHILLIPSCOM$46.9M451,43220825C104
EATON CORP PLCSHS$46.2M108,470G29183103
SOUTHERN COCOM$45.8M478,067842587107
FORTINET INCCOM$45.7M297,71834959E109
DATADOG INCCL A COM$45.7M175,44823804L103
COCA-COLA EUROPACIFIC PARTNESHS$45.4M453,456G25839104
CVS HEALTH CORPCOM$45.1M436,422126650100
SYNOPSYS INCCOM$45M100,771871607107
BRISTOL-MYERS SQUIBB COCOM$44.7M776,340110122108
AT&T INCCOM$44.7M2,160,81300206R102
PFIZER INCCOM$44.3M1,840,616717081103
BOEING COCOM$44.2M203,975097023105
DISNEY WALT COCOM$44.1M458,695254687106
CHUBB LIMITEDCOM$43.7M128,118H1467J104
MONSTER BEVERAGE CORP NEWCOM$43.2M449,40361174X109
LOWES COS INCCOM$42.9M194,442548661107
CADENCE DESIGN SYSTEM INCCOM$42.3M112,830127387108
COLGATE PALMOLIVE COCOM$42M458,126194162103
US BANCORPCOM NEW$40.6M671,690902973304
HONEYWELL INTL INCCOM$40.1M179,145438516205
HONEYWELL AEROSPACE INCCOM$39.8M179,99243849R105
ARM HOLDINGS PLCSPONSORED ADS$39.5M111,380042068205
DEERE & COCOM$38.7M61,011244199105
WELLTOWER INCCOM$38M167,31095040Q104
THOMSON REUTERS CORPCOM$37.9M463,662884903881
SCHWAB CHARLES CORPCOM$37.9M411,308808513105
ISHARES TRRUSSELL 3000 ETF$37.4M87,817464287689
PROLOGIS INC.COM$37.4M276,32974340W103
SALESFORCE INCCOM$36.8M235,20479466L302
ADOBE INCCOM$36.8M179,42000724F101
NEWMONT CORPCOM$36.6M391,873651639106
MARRIOTT INTL INC NEWCL A$36.6M98,700571903202
CME GROUP INCCOM$36.5M165,59712572Q105
LOCKHEED MARTIN CORPCOM$36.3M71,320539830109
PNC FINL SVCS GROUP INCCOM$36.3M147,471693475105
CSX CORPCOM$36.3M763,490126408103
AFLAC INCCOM$36.3M309,414001055102
GENERAL DYNAMICS CORPCOM$36M101,742369550108
CONSOLIDATED EDISON INCCOM$36M325,548209115104
TRAVELERS COMPANIES INCCOM$35.4M107,16489417E109
DANAHER CORP DELCOM$34.9M183,107235851102
OREILLY AUTOMOTIVE INCCOM$34.8M377,69867103H107
ISHARES TRCORE S&P500 ETF$34.8M46,437464287200
EMERA INCCOM$34.7M656,214290876101
UBER TECHNOLOGIES INCCOM$34.7M481,30190353T100
CONSTELLATION ENERGY CORPCOM$34.2M137,50721037T109
PARKER-HANNIFIN CORPCOM$33.7M34,467701094104
MCKESSON CORPCOM$33.7M44,68458155Q103
VERTIV HOLDINGS COCOM CL A$33.2M99,08092537N108
DELL TECHNOLOGIES INCCL C$32.7M75,90024703L202
BRP INCCOM SUN VTG$31.9M515,37605577W200
MARSH & MCLENNAN COS INCCOM$31.9M191,519571748102
WASTE MGMT INC DELCOM$31.6M141,96594106L109
CINTAS CORPCOM$31.5M185,192172908105
INTUITCOM$31.4M120,295461202103
ROSS STORES INCCOM$31.3M146,845778296103
S&P GLOBAL INCCOM$31M80,49678409V104
TERADYNE INCCOM$31M64,023880770102
TRANE TECHNOLOGIES PLCSHS$30.6M62,314G8994E103
BLACKSTONE INCCOM$30.6M259,96309260D107
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-08-03

CIBC Asset Management Inc — 1428 positions reported for 2026Q2 — Tapewire