Ticker | $ Bought |
---|---|
cameco corp | 37,846,000 |
hershey co/the | 19,647,000 |
prologis inc | 17,369,000 |
shopify inc | 15,562,000 |
oracle corp | 12,134,000 |
enterprise products partners lp | 10,956,000 |
curtiss-wright corp | 8,388,000 |
lumentum holdings inc | 8,381,000 |
Ticker | % Inc. |
---|---|
invitation homes inc | 5,382 |
spdr bloomberg short term high yield bond etf | 1,806 |
o'reilly automotive inc | 1,372 |
goldman sachs group inc/the | 1,283 |
equinix inc | 1,031 |
global payments inc | 624 |
tyson foods inc | 573 |
taiwan semiconductor manufacturing co ltd | 499 |
Ticker | % Reduced |
---|---|
caterpillar inc | -99.13 |
procter & gamble co/the | -97.79 |
marsh & mclennan cos inc | -97.11 |
fiserv inc | -96.74 |
hubspot inc | -92.66 |
motorola solutions inc | -88.31 |
schwab high yield bond etf | -88.2 |
dupont de nemours inc | -86.96 |
Ticker | $ Sold |
---|---|
spdr portfolio high yield bond etf | -23,316,000 |
invesco senior loan etf | -7,309,000 |
viatris inc | -1,605,000 |
tandem diabetes care inc | -3,169,000 |
ishares floating rate bond etf | -5,769,000 |
gitlab inc | -4,288,000 |
gen digital inc | -1,986,000 |
hp inc | -1,990,000 |
iA Global Asset Management Inc. has about 29.9% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 29.9 |
Others | 14 |
Communication Services | 11.3 |
Financial Services | 9 |
Consumer Cyclical | 8.2 |
Healthcare | 8.1 |
Industrials | 7.7 |
Consumer Defensive | 4.4 |
Basic Materials | 3 |
Utilities | 2.9 |
iA Global Asset Management Inc. has about 85% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
MEGA-CAP | 50.3 |
LARGE-CAP | 34.7 |
UNALLOCATED | 14.1 |
About 79.6% of the stocks held by iA Global Asset Management Inc. either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 79.6 |
Others | 20.1 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
iA Global Asset Management Inc. has 415 stocks in it's portfolio. About 36.4% of the portfolio is in top 10 stocks. ORLY proved to be the most loss making stock for the portfolio. NVDA was the most profitable stock for iA Global Asset Management Inc. last quarter.
Last Reported on: 05 Aug, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
MSFT | microsoft corp | 6.95 | 928,429 | 461,810,000 | reduced | -1.64 | ||
Historical Trend of MICROSOFT CORP Position Held By iA Global Asset Management Inc.What % of Portfolio is MSFT?:Number of MSFT shares held:Change in No. of Shares Held: | ||||||||
NVDA | nvidia corp | 6.38 | 2,685,640 | 424,305,000 | added | 9.52 | ||
AMZN | amazon.com inc | 4.73 | 1,431,480 | 314,053,000 | added | 2.41 | ||
AAPL | apple inc | 3.86 | 1,248,720 | 256,200,000 | reduced | -7.48 | ||
META | meta platforms inc | 3.46 | 311,686 | 230,052,000 | added | 9.76 | ||
AVGO | broadcom inc | 2.40 | 579,651 | 159,781,000 | reduced | -15.1 | ||
GOOG | alphabet inc | 2.40 | 900,461 | 159,733,000 | added | 11.38 | ||
GOOG | alphabet inc | 2.22 | 836,587 | 147,432,000 | added | 0.21 | ||
LIN | linde plc | 2.21 | 313,622 | 147,145,000 | added | 1.05 | ||
UNH | unitedhealth group inc | 1.75 | 373,821 | 116,621,000 | added | 65.61 | ||
V | visa inc | 1.63 | 304,742 | 108,199,000 | reduced | -26.72 | ||
MA | mastercard inc | 1.60 | 188,716 | 106,047,000 | reduced | -15.3 | ||
QQQ | invesco qqq trust series 1 | 1.50 | 181,270 | 99,996,000 | added | 1.2 | ||
TSM | taiwan semiconductor manufacturing co ltd | 1.45 | 424,911 | 96,238,000 | added | 499 | ||
CMS | cms energy corp | 1.42 | 1,361,950 | 94,356,000 | reduced | -4.19 | ||
AAXJ | ishares iboxx $ high yield corporate bond etf | 1.33 | 1,099,890 | 88,706,000 | reduced | -0.43 | ||
NFLX | netflix inc | 1.31 | 65,103 | 87,181,000 | reduced | -3.36 | ||
DHR | danaher corp | 1.25 | 421,023 | 83,169,000 | added | 250 | ||
BNDW | vanguard short-term corporate bond etf | 1.20 | 1,004,220 | 79,836,000 | reduced | -31.42 | ||
JPM | jpmorgan chase & co | 1.11 | 255,534 | 74,082,000 | reduced | -16.33 | ||