MANUFACTURERS LIFE INSURANCE COMPANY, THE

Holdings as of 2026-06-30, filed 2026-09-09

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 71 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
2,872
Value reported by manager
$128.1B
Sum of our stored positions
$128.1B
should match the line above
Disclosure lag
71 d
quarter end to filing
Top 5 concentration
18.3%
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
MICROSOFT CORPCOM$4B10,725,305594918104
NVIDIA CORPORATIONCOM$3.8B19,009,80767066G104
AMAZON COM INCCOM$3.6B14,923,246023135106
ALPHABET INCCAP STK CL A$3.3B9,273,69402079K305
APPLE INCCOM$3B10,302,563037833100
BROADCOM INCCOM$2.4B6,445,88211135F101
ROYAL BK CDACOM$2.3B11,113,364780087102
JOHN HANCOCK EXCHANGE TRADEDCORE BOND ETF$2.3B90,283,85847804J693
TORONTO DOMINION BK ONTCOM NEW$2.1B16,944,405891160509
META PLATFORMS INCCL A$1.6B2,878,36530303M102
ELI LILLY & COCOM$1.6B1,337,665532457108
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS$1.1B2,349,022874039100
MICRON TECHNOLOGY INCCOM$1.1B959,599595112103
ALPHABET INCCAP STK CL C$1.1B3,123,53502079K107
CANADIAN NAT RES LTD MED TERCOM$1B26,542,998136385101
VANGUARD INDEX FDSS&P 500 ETF SHS$1B1,472,234922908363
VANGUARD BD INDEX FDSTOTAL BND MRKT$965.6M13,152,216921937835
JOHNSON & JOHNSONCOM$951.5M3,746,452478160104
SHOPIFY INCCL A SUB VTG SHS$916.5M8,026,49082509L107
ADVANCED MICRO DEVICES INCCOM$915M1,575,270007903107
TESLA INCCOM$907.8M2,158,45988160R101
CANADIAN IMPERIAL BANK OF COCOM$905.4M7,877,897136069101
STATE STR SPDR S&P 500 ETF TTR UNIT$897.7M1,202,15078462F103
JOHN HANCOCK EXCHANGE TRADEDMULTFCTR EMRNG$867.2M21,548,66947804J834
UNITEDHEALTH GROUP INCCOM$860.9M2,071,35991324P102
JOHN HANCOCK EXCHANGE TRADEDDISC VALU SE ETF$837.4M26,465,30647804J677
KKR & CO INCCOM$816.9M8,900,14448251W104
JPMORGAN CHASE & COCOM$809.6M2,473,47746625H100
VISA INCCOM CL A$803.9M2,343,19592826C839
SUNCOR ENERGY INC NEWCOM$791M14,731,583867224107
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT$730.1M10,246,137921943858
UNITED RENTALS INCCOM$716.1M632,126911363109
ASTRAZENECA PLCORD$686.9M3,673,390G0593M107
THERMO FISHER SCIENTIFIC INCCOM$667.2M1,330,750883556102
APPLIED MATLS INCCOM$657.9M910,031038222105
CANADIAN PACIFIC KANSAS CITYCOM$657.7M7,600,77813646K108
ABBVIE INCCOM$655.3M2,603,98800287Y109
MCKESSON CORPCOM$651.5M862,18258155Q103
JOHN HANCOCK EXCHANGE TRADEDDISCIPLINED VAL$646.8M16,767,64247804J727
BERKSHIRE HATHAWAY INC DELCL B NEW$642M1,282,959084670702
JOHN HANCOCK EXCHANGE TRADEDGLOBAL SR LN ETF$633.8M25,754,24347804J669
CANADIAN NATL RY COCOM$631.7M5,303,746136375102
CHENIERE ENERGY INCCOM NEW$629.5M2,633,76316411R208
KLA CORPCOM NEW$615.1M2,038,894482480100
AGNICO EAGLE MINES LTDCOM$608.1M3,921,023008474108
LENNAR CORPCL A$604.8M6,683,066526057104
ENBRIDGE INCCOM$599.7M11,079,46929250N105
ELEVANCE HEALTH INC FORMERLYCOM$591.1M1,528,416036752103
WASTE CONNECTIONS INCCOM$589.7M3,544,27894106B101
INTEL CORPCOM$570.2M4,083,350458140100
BARRICK MNG CORPCOM SHS$557.7M15,195,26306849F108
TEXAS INSTRS INCCOM$542.3M1,819,316882508104
TRANSDIGM GROUP INCCOM$522.8M392,447893641100
LIBERTY MEDIA CORP DELCOM LBTY ONE S C$505.3M5,311,086531229755
SALESFORCE INCCOM$492.1M3,140,98679466L302
ABBOTT LABORATORIESCOM$487.3M5,370,397002824100
WALMART INCCOM$468.1M4,132,839931142103
VULCAN MATLS COCOM$451.1M1,529,164929160109
GALLAGHER ARTHUR J & COCOM$440.2M1,917,615363576109
CENOVUS ENERGY INCCOM$423.9M17,117,65415135U109
MEDTRONIC PLCSHS$420.8M5,378,561G5960L103
LAM RESEARCH CORPCOM NEW$417.9M964,364512807306
AMGEN INCCOM$416.7M1,150,794031162100
BANK MONTREAL MEDIUMCOM$416.6M2,361,978063671101
BANK NOVA SCOTIA B CCOM$416.4M4,800,235064149107
COSTCO WHOLESALE CORPORATIONCOM$415.8M444,47322160K105
DANAHER CORP DELCOM$410.5M2,154,842235851102
EXXON MOBIL CORPCOM$394.7M2,886,73430231G102
MARVELL TECHNOLOGY INCCOM$394.3M1,323,705573874104
FERRARI N VCOM$388.8M1,044,720N3167Y103
CISCO SYS INCCOM$388.5M3,307,56817275R102
SPDR SERIES TRUSTST STR P500VAL$383.7M6,312,03078464A508
NASDAQ INCCOM$377.8M4,793,430631103108
SPDR SERIES TRUSTST STR P500GRW$375.9M3,158,74578464A409
NUTRIEN LTDCOM$375.2M5,966,27767077M108
TC ENERGY CORPCOM$363M5,491,84487807B107
ACCENTURE PLC IRELANDSHS CLASS A$355.6M2,857,277G1151C101
CELESTICA INCCOM$351.7M965,95015101Q207
BROOKFIELD CORPCL A LTD VT SH$345.5M8,112,38811271J107
BANK OF AMER CORPCOM$333.5M5,852,715060505104
CATERPILLAR INCCOM$326M306,110149123101
CENCORA INCCOM$313.7M1,108,44703073E105
MARSH & MCLENNAN COS INCCOM$311.2M1,867,077571748102
WHEATON PRECIOUS METALS CORPCOM$310.7M2,767,598962879102
AMERICAN TOWER CORPCOM$306.2M1,872,06703027X100
JOHN HANCOCK EXCHANGE TRADEDMULTIFACTOR MI$305.4M4,073,54747804J206
SUN LIFE FINANCIAL INC.COM$293.1M3,739,937866796105
FIRSTSERVICE CORP NEWCOM$292.7M2,062,19233767E202
ISHARES TR1 3 YR TREAS BD$291.1M3,545,364464287457
PEMBINA PIPELINE CORPCOM$285.7M6,187,904706327103
UBER TECHNOLOGIES INCCOM$283M3,921,20690353T100
GE VERNOVA INCCOM$281.6M239,71136828A101
S&P GLOBAL INCCOM$281.4M690,93178409V104
GE AEROSPACECOM NEW$279.3M747,349369604301
VERTEX PHARMACEUTICALS INCCOM$275.2M554,08592532F100
LOWES COS INCCOM$271.4M1,230,979548661107
STRYKER CORPORATIONCOM$270.6M859,544863667101
CAMECO CORPCOM$269.5M2,649,25113321L108
MASTERCARD INCORPORATEDCL A$269.4M524,51657636Q104
ALNYLAM PHARMACEUTICALS INCCOM$269.1M893,79502043Q107
OPEN TEXT CORPCOM$266.6M12,041,601683715106
MERCK & CO INCCOM$266.4M2,073,17658933Y105
DBX ETF TRXTRACK USD HIGH$262.6M351,914233051432
PALO ALTO NETWORKS INCCOM$257M753,622697435105
VANGUARD SCOTTSDALE FDSSHRT TRM CORP BD$253.2M3,204,21392206C409
CHEVRON CORPORATIONCOM$251.9M1,519,457166764100
GOLDMAN SACHS GROUP INCCOM$246.6M243,87138141G104
HOME DEPOT INCCOM$244.2M692,349437076102
CITIGROUP INCCOM NEW$242.8M1,735,115172967424
THE CIGNA GROUPCOM$241.3M875,333125523100
BRIGHTSPRING HEALTH SVCS INCCOM$239.4M3,432,42310950A106
MORGAN STANLEYCOM NEW$236.1M1,129,349617446448
GILDAN ACTIVEWEAR INCCOM$234.8M4,561,775375916103
NETFLIX INC.COM$234.6M3,285,84964110L106
TECK RESOURCES LTDCL B$226.5M3,810,304878742204
ANALOG DEVICES INCCOM$225.6M568,032032654105
KINROSS GOLD CORPCOM$223M9,435,939496902404
CROWN CASTLE INCCOM$220.8M2,915,65622822V101
CHUBB LIMITEDCOM$212.8M624,385H1467J104
WELLS FARGO & COCOM$212.5M2,571,687949746101
FORTIVE CORPCOM$211.8M3,467,12634959J108
BROOKFIELD ASSET MANAGMT LTDCL A LMT VTG SHS$209.9M4,686,883113004105
GUARDANT HEALTH INCCOM$208.6M1,390,33740131M109
ROPER TECHNOLOGIES INCCOM$206.1M609,090776696106
ELANCO ANIMAL HEALTH INCCOM$205.6M8,355,77228414H103
LINDE PLCSHS$205.2M395,420G54950103
VICOR CORPCOM$201.6M530,885925815102
ISHARES TRU.S. TECH ETF$200.6M795,221464287721
BROADRIDGE FINL SOLUTIONS INCOM$197.9M1,445,20711133T103
PROCTER & GAMBLE COCOM$196.7M1,341,390742718109
ISHARES INCMSCI GBL MIN VOL$196.4M1,633,451464286525
WORKDAY INCCL A$195.2M1,594,45198138H101
VANGUARD SPECIALIZED FUNDSDIV APP ETF$192.7M1,506,493921908844
NEXTERA ENERGY INCUNIT 02/15/2029$191.7M4,004,70065339F655
ISHARES TRMSCI INDIA ETF$190.2M3,850,37346429B598
TFI INTERNATIONAL INCCOM$189.3M1,317,51587241L109
ARISTA NETWORKS INCCOM SHS$188.8M1,111,678040413205
CONOCOPHILLIPSCOM$188.8M1,816,14320825C104
ORACLE CORPCOM$187.7M1,280,63268389X105
PHILIP MORRIS INTL INCCOM$183M1,011,377718172109
SANDISK CORPCOM$180.4M79,35880004C200
INTUITCOM$179.7M688,360461202103
INTERNATIONAL BUSINESS MACHSCOM$176.3M627,060459200101
ISHARES TRCORE S&P500 ETF$174.5M233,323464287200
REGAL REXNORD CORPORATIONCOM$172.6M724,633758750103
RB GLOBAL INCCOM$171.3M1,474,46474935Q107
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF$171.1M3,050,055922042858
SYNOPSYS INCCOM$170.9M383,089871607107
BLACKSTONE INCCOM$170.6M1,450,07009260D107
TOTALENERGIES SEACT$169.8M2,185,055F92124100
FREEPORT MCMORAN INCCL B$169M2,687,52435671D857
GE HEALTHCARE TECHNOLOGIES ICOMMON STOCK$168.6M2,633,89336266G107
COCA COLA COCOM$168.4M2,072,126191216100
PALANTIR TECHNOLOGIES INCCL A$166.7M1,428,67369608A108
ADVANCED ENERGY INDSCOM$166.2M445,629007973100
MAXLINEAR INCCOM$165.2M1,290,48557776J100
EQT CORPCOM$163.7M3,078,90026884L109
AMERICAN ELEC PWR CO INCCOM$162.3M1,186,541025537101
DISNEY WALT COCOM$161.8M1,680,642254687106
NEXTERA ENERGY INCCOM$159.4M1,815,69465339F101
JOHN HANCOCK EXCHANGE TRADEDCORE PLUS BOND$158.4M6,317,05947804J685
AMBARELLA INCSHS$158.2M1,186,541G037AX101
AMPHENOL CORPCL A$157.8M895,090032095101
JOHN HANCOCK EXCHANGE TRADEDMULTIFACTR SML$156.2M3,217,34147804J842
VALERO ENERGY CORPCOM$154.8M594,47291913Y100
FRANCO NEV CORPCOM$153.3M736,359351858105
KULICKE & SOFFA INDS INCCOM$153M1,144,210501242101
PEPSICO INCCOM$150.4M1,110,852713448108
SCHWAB CHARLES CORPCOM$150.2M1,627,988808513105
ADOBE INCCOM$150M731,65700724F101
QNITY ELECTRONICS INCCOMMON STOCK$149.2M913,49474743L100
FORTIS INCCOM$148.4M2,595,054349553107
LOCKHEED MARTIN CORPCOM$148.3M291,171539830109
VERIZON COMMUNICATIONS INCCOM$148.1M3,497,27592343V104
AMERICAN EXPRESS COCOM$145.7M430,789025816109
BRIDGEBIO PHARMA INCCOM$145.7M1,955,73310806X102
PAN AMERN SILVER CORPCOM$145.3M3,247,246697900108
MAGNA INTL INCCOM$145.1M2,211,134559222401
RTX CORPORATIONCOM$144.3M760,60375513E101
DESCARTES SYS GROUP INCCOM$141.4M2,045,632249906108
QUALCOMM INCCOM$140.9M762,384747525103
CITIZENS FINL GROUP INCCOM$139.4M1,989,874174610105
INTUITIVE SURGICAL INCCOM NEW$138.9M349,30646120E602
GILEAD SCIENCES INCCOM$138.2M1,093,987375558103
OLD NATL BANCORP INDCOM$134.6M5,197,295680033107
VEECO INSTRS INC DELCOM$134.4M1,773,530922417100
SYNAPTICS INCCOM$133.7M1,075,87887157D109
CVS HEALTH CORPCOM$133.2M1,287,441126650100
TJX COS INC NEWCOM$131.7M869,113872540109
EDWARDS LIFESCIENCES CORPCOM$131.5M1,453,35728176E108
VAIL RESORTS INCCOM$131.4M965,24691879Q109
ISHARES TRGLOBAL REIT ETF$131.2M1,861,57546434V647
CREDO TECHNOLOGY GROUP HOLDIORDINARY SHARES$131M482,051G25457105
JAZZ PHARMACEUTICALS PLCSHS USD$129.9M539,037G50871105
ISHARES TRU.S. FINLS ETF$129.6M1,016,228464287788
SOUTHERN COCOM$129M1,347,359842587107
CARMAX INCCOM$128M2,420,139143130102
L3HARRIS TECHNOLOGIES INCCOM$127.9M440,115502431109
ZIMMER BIOMET HOLDINGS INCCOM$125.5M1,458,25998956P102
BRISTOL-MYERS SQUIBB COCOM$125.4M2,176,661110122108
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 2026-09-09

MANUFACTURERS LIFE INSURANCE COMPANY, THE — 2872 positions reported for 2026Q2 — Tapewire