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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

CIBC Asset Management Inc INSTITUTION : CIBC Asset Management Inc
CIBC Asset Management Inc Portfolio (reported on 2020-04-30)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
TORONTO DOMINION BK ONT    (COM NEW) TD 968,572,000 22,865,926 6.85%
ROYAL BK CDA    (COM) RY 782,367,000 12,677,067 5.53%
BROOKFIELD ASSET MGMT INC    (CL A LTD VT SH) BAM 632,620,000 14,324,313 4.47%
ENBRIDGE INC    (COM) ENB 584,292,000 20,138,759 4.13%
TELUS CORPORATION    (COM) TULCF 496,786,000 31,536,692 3.51%
CANADIAN NATL RY CO    (COM) CNI 377,666,000 4,848,084 2.67%
TC ENERGY CORP    (COM) 340,080,000 7,679,399 2.40%
CANADIAN PAC RY LTD    (COM) CP 316,166,000 1,438,016 2.23%
BARRICK GOLD CORPORATION    (COM) ABX 289,952,000 15,836,831 2.05%
NUTRIEN LTD    (COM) 275,674,000 8,093,522 1.94%
MICROSOFT CORP    (COM) MSFT 249,731,000 1,583,566 1.76%
SUNCOR ENERGY INC NEW    (COM) SU 247,654,000 15,574,504 1.75%
BANK MONTREAL    (COM) BMO 245,077,000 4,871,486 1.73%
CANADIAN IMP BK COMM    (COM) CM 241,745,000 4,164,004 1.70%
BANK NOVA SCOTIA B C    (COM) BNS 233,248,000 5,732,567 1.64%
VANGUARD INTL EQUITY INDEX F    (ALLWRLD EX US) VEU 203,224,000 4,954,264 1.43%
VANGUARD INDEX FDS    (S&P 500 ETF SHS) VOO 198,978,000 840,208 1.40%
APPLE INC    (COM) AAPL 193,116,000 761,770 1.36%
RESTAURANT BRANDS INTL INC    (COM) QSR 188,694,000 4,699,774 1.33%
ISHARES TR    (MSCI EMG MKT ETF) EEM 164,917,000 3,831,209 1.16%
AGNICO EAGLE MINES LTD    (COM) AEM 161,345,000 4,056,519 1.14%
SELECT SECTOR SPDR TR    (SBI CONS STPLS) XLP 157,614,000 2,891,473 1.11%
ROGERS COMMUNICATIONS INC    (CL B) RCI 156,669,000 3,767,275 1.10%
CANADIAN NAT RES LTD    (COM) CNQ 155,407,000 11,402,758 1.09%
WASTE CONNECTIONS INC    (COM) 147,897,000 1,912,956 1.04%
FORTIS INC    (COM) FRTSF 142,352,000 3,704,869 1.00%
AMAZON COM INC    (COM) AMZN 140,008,000 71,809 0.99%
SHAW COMMUNICATIONS INC    (CL B CONV) SJR 137,010,000 8,476,600 0.96%
BROOKFIELD INFRAST PARTNERS    (LP INT UNIT) BIP 135,923,000 3,756,985 0.96%
GRANITE REAL ESTATE INVT TR    (UNIT 99/99/9999) GRP/U 134,318,000 3,263,737 0.95%
ISHARES TR    (MSCI EAFE ETF) EFA 133,146,000 2,490,576 0.94%
FRANCO NEVADA CORP    (COM) FNNVF 124,419,000 1,249,828 0.88%
BCE INC    (COM NEW) BCE 121,509,000 2,972,875 0.85%
BROOKFIELD RENEWABLE PARTNER    (PARTNERSHIP UNIT) BEP 117,134,000 2,795,225 0.82%
SUN LIFE FINL INC    (COM) SLF 112,360,000 3,505,649 0.79%
PEMBINA PIPELINE CORP    (COM) PBNPF 110,109,000 5,890,997 0.77%
MANULIFE FINL CORP    (COM) MFC 99,847,000 7,981,235 0.70%
SHOPIFY INC    (CL A) 98,660,000 236,340 0.69%
BROOKFIELD PROPERTY PARTRS L    (UNIT LTD PARTN) BPY 96,685,000 12,021,307 0.68%
SPDR S&P 500 ETF TR    (TR UNIT) SPY 90,332,000 350,462 0.63%
SPDR GOLD TRUST    (GOLD SHS) GLD 79,680,000 538,200 0.56%
NEWMONT CORP    (COM) NEM 73,980,000 1,652,822 0.52%
ALPHABET INC    (CAP STK CL C) GOOG 73,634,000 63,324 0.52%
BROOKFIELD BUSINESS PARTNERS    (UNIT LTD LP) 73,157,000 2,903,337 0.51%
FIRSTSERVICE CORP NEW    (COM) 67,376,000 876,926 0.47%
TRANSALTA CORP    (COM) TAC 61,663,000 11,834,166 0.43%
MAGNA INTL INC    (COM) MGA 58,869,000 1,851,480 0.41%
VISA INC    (COM CL A) V 57,326,000 355,798 0.40%
FACEBOOK INC    (CL A) FB 56,638,000 339,555 0.40%
JPMORGAN CHASE & CO    (COM) JPM 52,781,000 586,262 0.37%
ISHARES TR    (JPMORGAN USD EMG) EMB 48,410,000 500,728 0.34%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK/B 46,140,000 252,368 0.32%
ALPHABET INC    (CAP STK CL A) GOOGL 45,705,000 39,335 0.32%
VERIZON COMMUNICATIONS INC    (COM) VZ 44,800,000 834,216 0.31%
KIRKLAND LAKE GOLD LTD    (COM) 43,569,000 1,484,711 0.30%
UNITEDHEALTH GROUP INC    (COM) UNH 41,888,000 167,968 0.29%
CVS HEALTH CORP    (COM) CVS 41,886,000 705,976 0.29%
PEPSICO INC    (COM) PEP 35,755,000 297,709 0.25%
COLLIERS INTL GROUP INC    (SUB VTG SHS) 35,726,000 749,567 0.25%
CHEVRON CORP NEW    (COM) CVX 35,556,000 490,777 0.25%
INTEL CORP    (COM) INTC 35,439,000 655,047 0.25%
JOHNSON & JOHNSON    (COM) JNJ 35,375,000 269,771 0.25%
TECK RESOURCES LTD    (CL B) TCK 34,648,000 4,586,594 0.24%
MASTERCARD INC    (CL A) MA 34,154,000 141,391 0.24%
GFL ENVIRONMENTAL INC    (SUB VTG SHS) 32,827,000 2,129,813 0.23%
PROCTER & GAMBLE CO    (COM) PG 32,640,000 296,731 0.23%
CISCO SYS INC    (COM) CSCO 31,828,000 809,754 0.22%
CGI INC    (CL A SUB VTG) 31,082,000 576,209 0.21%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 30,097,000 184,353 0.21%
THERMO FISHER SCIENTIFIC INC    (COM) TMO 29,978,000 105,706 0.21%
MERCK & CO. INC    (COM) MRK 29,310,000 380,952 0.20%
NVIDIA CORP    (COM) NVDA 29,241,000 110,929 0.20%
COCA COLA CO    (COM) KO 28,841,000 651,836 0.20%
MCDONALDS CORP    (COM) MCD 28,161,000 170,313 0.19%
HONEYWELL INTL INC    (COM) HON 27,844,000 208,114 0.19%
ALGONQUIN PWR UTILS CORP    (COM) AQUNF 27,630,000 2,059,395 0.19%
ADOBE INC    (COM) ADBE 27,188,000 85,431 0.19%
AMERICAN TOWER CORP NEW    (COM) AMT 26,932,000 123,683 0.19%
TAIWAN SEMICONDUCTOR MFG LTD    (SPONSORED ADS) TSM 25,872,000 541,371 0.18%
WALMART INC    (COM) WMT 25,570,000 225,051 0.18%
BK OF AMERICA CORP    (COM) BAC 25,305,000 1,191,929 0.17%
FIDELITY NATL INFORMATION SV    (COM) FIS 25,237,000 207,469 0.17%
COMCAST CORP NEW    (CL A) CMCSA 24,512,000 712,974 0.17%
STRYKER CORP    (COM) SYK 24,390,000 146,494 0.17%
AT&T INC    (COM) T 23,930,000 821,692 0.16%
NETFLIX INC    (COM) NFLX 23,896,000 63,637 0.16%
ROSS STORES INC    (COM) ROST 23,808,000 273,755 0.16%
ISHARES TR    (IBOXX HI YD ETF) HYG 23,395,000 303,551 0.16%
AMERICAN WTR WKS CO INC NEW    (COM) AWK 23,312,000 194,986 0.16%
PFIZER INC    (COM) PFE 23,133,000 708,728 0.16%
MSCI INC    (COM) MXB 22,462,000 77,732 0.15%
FISERV INC    (COM) FISV 22,347,000 235,256 0.15%
DOLLAR GEN CORP NEW    (COM) DG 21,827,000 144,537 0.15%
COSTCO WHSL CORP NEW    (COM) COST 21,569,000 75,646 0.15%
AON PLC    (SHS CL A) AON 21,417,000 129,768 0.15%
SYSCO CORP    (COM) SYY 21,232,000 465,315 0.15%
HOME DEPOT INC    (COM) HD 20,126,000 107,793 0.14%
VERISK ANALYTICS INC    (COM) VRSK 20,033,000 143,732 0.14%
PROGRESSIVE CORP OHIO    (COM) PGR 20,018,000 271,101 0.14%
GILEAD SCIENCES INC    (COM) GILD 19,943,000 266,761 0.14%
EXXON MOBIL CORP    (COM) XOM 19,912,000 524,461 0.14%
AMGEN INC    (COM) AMGN 19,623,000 96,796 0.13%
ACTIVISION BLIZZARD INC    (COM) ATVI 18,860,000 317,087 0.13%
DISNEY WALT CO    (COM DISNEY) DIS 18,764,000 194,248 0.13%
TAKEDA PHARMACEUTICAL CO LTD    (SPONSORED ADS) TKPYY 18,705,000 1,232,212 0.13%
DUKE ENERGY CORP NEW    (COM NEW) DUK 18,595,000 229,978 0.13%
ISHARES TR    (CORE S&P500 ETF) IVV 18,592,000 71,949 0.13%
NEXTERA ENERGY INC    (COM) NEE 18,583,000 77,229 0.13%
MONDELEZ INTL INC    (CL A) MDLZ 18,567,000 370,750 0.13%
CHURCH & DWIGHT INC    (COM) CHD 18,551,000 289,042 0.13%
RESMED INC    (COM) RMD 18,525,000 125,773 0.13%
DIGITAL RLTY TR INC    (COM) DLR 17,403,000 125,286 0.12%
CDW CORP    (COM) CDW 17,357,000 186,093 0.12%
HDFC BANK LTD    (SPONSORED ADS) HDB 17,226,000 447,888 0.12%
STARBUCKS CORP    (COM) SBUX 16,926,000 257,466 0.11%
ABBVIE INC    (COM) ABBV 16,417,000 215,585 0.11%
CENOVUS ENERGY INC    (COM) CVE 16,409,000 8,160,771 0.11%
PAYPAL HLDGS INC    (COM) PYPL 16,358,000 170,854 0.11%
INTERNATIONAL FLAVORS&FRAGRA    (COM) IFF 16,333,000 160,004 0.11%
MCCORMICK & CO INC    (COM NON VTG) MKC 16,324,000 115,602 0.11%
ALIBABA GROUP HLDG LTD    (SPONSORED ADS) BABA 16,067,000 82,613 0.11%
PHILIP MORRIS INTL INC    (COM) PM 16,026,000 219,693 0.11%
KRANESHARES TR    (CSI CHI INTERNET) KWEB 15,615,000 344,925 0.11%
TEXAS INSTRS INC    (COM) TXN 15,365,000 153,758 0.10%
SERVICENOW INC    (COM) NOW 15,334,000 53,506 0.10%
VANECK VECTORS ETF TR    (FALLEN ANGEL HG) 15,144,000 598,561 0.10%
BROOKFIELD INFRASTRUCTURE CO    (COM SB VTG SHS A) 14,309,000 410,038 0.10%
SPDR SER TR    (BLOOMBERG BRCLYS) 13,860,000 146,298 0.09%
BROADCOM INC    (COM) 13,701,000 57,786 0.09%
QUALCOMM INC    (COM) QCOM 13,354,000 197,395 0.09%
ABBOTT LABS    (COM) ABT 13,075,000 165,696 0.09%
CHARTER COMMUNICATIONS INC N    (CL A) CHTR 12,530,000 28,718 0.08%
WELLS FARGO CO NEW    (COM) WFC 12,457,000 434,045 0.08%
SALESFORCE COM INC    (COM) CRM 12,149,000 84,377 0.08%
BRISTOL-MYERS SQUIBB CO    (COM) BMY 12,146,000 217,906 0.08%
ORACLE CORP    (COM) ORCL 11,930,000 246,841 0.08%
LILLY ELI & CO    (COM) LLY 11,825,000 85,247 0.08%
DANAHER CORPORATION    (COM) DHR 11,775,000 85,072 0.08%
ISHARES INC    (MSCI CHILE ETF) ECH 11,738,000 542,440 0.08%
DOMINION ENERGY INC    (COM) D 11,454,000 158,700 0.08%
SELECT SECTOR SPDR TR    (TECHNOLOGY) XLK 11,395,000 141,716 0.08%
UNITED PARCEL SERVICE INC    (CL B) UPS 11,327,000 121,265 0.08%
INVESCO QQQ TR    (UNIT SER 1) 11,306,000 59,379 0.07%
WHEATON PRECIOUS METALS CORP    (COM) 11,242,000 409,964 0.07%
CONSTELLATION BRANDS INC    (CL A) STZ 11,003,000 76,748 0.07%
AGNC INVT CORP    (COM) 11,002,000 1,039,887 0.07%
NIKE INC    (CL B) NKE 10,734,000 129,731 0.07%
T MOBILE US INC    (COM) TMUS 10,632,000 126,720 0.07%
ISHARES INC    (MSCI ISRAEL ETF) EIS 10,549,000 234,935 0.07%
UNION PAC CORP    (COM) UNP 10,467,000 74,214 0.07%
AMERICAN ELEC PWR CO INC    (COM) AEP 10,450,000 130,657 0.07%
XCEL ENERGY INC    (COM) XEL 10,432,000 172,996 0.07%
MOODYS CORP    (COM) MCO 10,415,000 49,243 0.07%
MARSH & MCLENNAN COS INC    (COM) MMC 10,359,000 119,809 0.07%
AUTOMATIC DATA PROCESSING IN    (COM) ADP 10,356,000 75,769 0.07%
CITIGROUP INC    (COM NEW) C 10,321,000 245,029 0.07%
MEDTRONIC PLC    (SHS) MDT 10,313,000 114,359 0.07%
ALEXION PHARMACEUTICALS INC    (COM) ALXN 10,203,000 113,630 0.07%
THOMSON REUTERS CORP    (COM NEW) 10,170,000 149,818 0.07%
GLOBAL PMTS INC    (COM) GPN 10,157,000 70,419 0.07%
PUBLIC SVC ENTERPRISE GRP IN    (COM) PEG 9,860,000 219,556 0.06%
MICRON TECHNOLOGY INC    (COM) MU 9,591,000 228,042 0.06%
VANECK VECTORS ETF TR    (JP MORGAN MKTS) 9,523,000 334,488 0.06%
SOUTHERN CO    (COM) SO 9,473,000 174,992 0.06%
SONY CORP    (SPONSORED ADR) SNE 9,082,000 153,478 0.06%
TESLA INC    (COM) TSLA 9,021,000 17,215 0.06%
INTERCONTINENTAL EXCHANGE IN    (COM) ICE 8,983,000 111,240 0.06%
WASTE MGMT INC DEL    (COM) WMI 8,903,000 96,187 0.06%
VERTEX PHARMACEUTICALS INC    (COM) VRTX 8,894,000 37,376 0.06%
ALTRIA GROUP INC    (COM) MO 8,873,000 229,493 0.06%
ANNALY CAPITAL MANAGEMENT IN    (COM) NLY 8,867,000 1,748,945 0.06%
LAM RESEARCH CORP    (COM) LRCX 8,855,000 36,897 0.06%
ISHARES INC    (JP MRG EM CRP BD) CEMB 8,731,000 194,247 0.06%
WEC ENERGY GROUP INC    (COM) 8,717,000 98,912 0.06%
INTUIT    (COM) INTU 8,701,000 37,831 0.06%
ENTERGY CORP NEW    (COM) ETR 8,682,000 92,391 0.06%
EVERSOURCE ENERGY    (COM) ES 8,651,000 110,612 0.06%
IQVIA HLDGS INC    (COM) 8,611,000 79,836 0.06%
UNITED TECHNOLOGIES CORP    (COM) UTX 8,576,000 90,915 0.06%
LOCKHEED MARTIN CORP    (COM) LMT 8,514,000 25,118 0.06%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 8,474,000 76,391 0.05%
CONSOLIDATED EDISON INC    (COM) ED 8,458,000 108,436 0.05%
BIOGEN INC    (COM) BIIB 8,387,000 26,510 0.05%
INTUITIVE SURGICAL INC    (COM NEW) ISRG 8,351,000 16,864 0.05%
BOOKING HLDGS INC    (COM) 8,245,000 6,129 0.05%
NATIONAL GRID PLC    (SPONSORED ADR NE) 7,969,000 136,807 0.05%
AMERICAN EXPRESS CO    (COM) AXP 7,883,000 92,079 0.05%
BERKLEY W R CORP    (COM) WRB 7,877,000 150,986 0.05%
ALLIANT ENERGY CORP    (COM) LNT 7,688,000 159,200 0.05%
VANECK VECTORS ETF TR    (RUSSIA ETF) 7,572,000 453,980 0.05%
AMEREN CORP    (COM) AEE 7,550,000 103,664 0.05%
PINNACLE WEST CAP CORP    (COM) PNW 7,445,000 98,230 0.05%
ATMOS ENERGY CORP    (COM) ATO 7,410,000 74,680 0.05%
ANALOG DEVICES INC    (COM) ADI 7,348,000 81,958 0.05%
CIGNA CORP NEW    (COM) 7,324,000 41,339 0.05%
ADVANCED MICRO DEVICES INC    (COM) AMD 7,274,000 159,940 0.05%
PNC FINL SVCS GROUP INC    (COM) PNC 7,108,000 74,255 0.05%
PROLOGIS INC.    (COM) PLD 7,107,000 88,431 0.05%
BOEING CO    (COM) BA 7,092,000 47,550 0.05%
CMS ENERGY CORP    (COM) CMS 7,042,000 119,862 0.04%
1 2 3 4 5 6 Next >Full Portfolio View
Total Value As 2020-03-31: 14,138,112,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
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