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Disclosed positions
CANADA LIFE ASSURANCE Co: source evidence dated 2026-08-14T03:59:59.999Z.
- Issuer
- NVIDIA CORPORATION
- Ticker
- NVDA
- Class
- COM
- Reported value
- $3,749,624,000
- Reported amount
- 18,795,740
- Unit
- SH
- Option
- None
The displayed owner or issuer and source fields identify the receipt to verify; keep reporting and availability dates separate.
What was reported for this quarter?
13F positions are dated quarter-end holdings, with later publication and possible amendments. Read report period and availability before calling them current.
SEC 13F-HR: 0001046192-26-000012Open the effective filing receipt and inspect shares, value and any put/call classification separately.
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Open the effective filing receipt and inspect shares, value and any put/call classification separately.
Browse institutional filingsKeep reporting dates and units beside the answer, and inspect its original citations.
Disclosed positions
See the complete disclosed positions
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| NVIDIA CORPORATION | NVDA | COM | $3,749,624,000 | 18,795,740 | SH | None |
| APPLE INC | AAPL | COM | $3,451,350,000 | 11,954,682 | SH | None |
| MICROSOFT CORP | MSFT | COM | $2,386,013,000 | 6,409,330 | SH | None |
| ALPHABET INC | GOOGL | CAP STK CL A | $2,054,210,000 | 5,761,084 | SH | None |
| AMAZON COM INC | AMZN | COM | $1,984,948,000 | 8,345,507 | SH | None |
| BROADCOM INC | AVGO | COM | $1,346,055,000 | 3,574,476 | SH | None |
| ALPHABET INC | GOOG | CAP STK CL C | $1,264,365,000 | 3,584,303 | SH | None |
| META PLATFORMS INC | META | CL A | $1,217,443,000 | 2,165,987 | SH | None |
| MICRON TECHNOLOGY INC | MU | COM | $1,025,850,000 | 892,516 | SH | None |
| TESLA INC | TSLA | COM | $1,005,234,000 | 2,395,155 | SH | None |
| ADVANCED MICRO DEVICES INC | AMD | COM | $923,164,000 | 1,593,366 | SH | None |
| APPLIED MATLS INC | AMAT | COM | $913,665,000 | 1,265,620 | SH | None |
| ELI LILLY & CO | LLY | COM | $767,766,000 | 640,845 | SH | None |
| JPMORGAN CHASE & CO | JPM | COM | $714,628,000 | 2,187,136 | SH | None |
| BERKSHIRE HATHAWAY INC DEL | BRK.B | CL B NEW | $623,986,000 | 1,249,147 | SH | None |
| JOHNSON & JOHNSON | JNJ | COM | $618,580,000 | 2,438,843 | SH | None |
| CISCO SYS INC | CSCO | COM | $556,003,000 | 4,743,634 | SH | None |
| EXXON MOBIL CORP | XOM | COM | $549,055,000 | 4,029,982 | SH | None |
| VISA INC | V | COM CL A | $494,496,000 | 1,445,412 | SH | None |
| UNITEDHEALTH GROUP INC | UNH | COM | $487,961,000 | 1,176,396 | SH | None |
| INTEL CORP | INTC | COM | $478,677,000 | 3,435,694 | SH | None |
| MASTERCARD INCORPORATED | MA | CL A | $476,692,000 | 929,849 | SH | None |
| HOME DEPOT INC | HD | COM | $472,313,000 | 1,342,416 | SH | None |
| NETFLIX INC. | NFLX | COM | $446,196,000 | 6,261,374 | SH | None |
| ABBVIE INC | ABBV | COM | $441,915,000 | 1,761,265 | SH | None |
| STATE STR SPDR S&P 500 ETF T | SPY | TR UNIT | $439,575,000 | 589,692 | SH | None |
| TAIWAN SEMICONDUCTOR MANUFAC | TSM | SPONSORED ADS | $424,061,000 | 891,025 | SH | None |
| KLA CORP | KLAC | COM NEW | $414,928,000 | 1,379,320 | SH | None |
| PROCTER & GAMBLE CO | PG | COM | $414,737,000 | 2,836,115 | SH | None |
| WELLTOWER INC | WELL | COM | $371,609,000 | 1,639,804 | SH | None |
| MERCK & CO INC | MRK | COM | $361,143,000 | 2,816,256 | SH | None |
| CATERPILLAR INC | CAT | COM | $345,304,000 | 324,751 | SH | None |
| COSTCO WHOLESALE CORPORATION | COST | COM | $317,528,000 | 339,979 | SH | None |
| PROLOGIS INC. | PLD | COM | $315,971,000 | 2,335,436 | SH | None |
| COCA COLA CO | KO | COM | $303,607,000 | 3,741,723 | SH | None |
| MCDONALDS CORP | MCD | COM | $290,152,000 | 1,075,537 | SH | None |
| ASTRAZENECA PLC | AZN | ORD | $285,243,000 | 1,526,363 | SH | None |
| BANK OF AMER CORP | BAC | COM | $274,157,000 | 4,820,409 | SH | None |
| PALO ALTO NETWORKS INC | PANW | COM | $270,967,000 | 796,374 | SH | None |
| ORACLE CORP | ORCL | COM | $262,951,000 | 1,794,954 | SH | None |
| EQUINIX INC | EQIX | COM | $258,097,000 | 247,832 | SH | None |
| INTERNATIONAL BUSINESS MACHS | IBM | COM | $256,928,000 | 914,591 | SH | None |
| BOOKING HOLDINGS INC | BKNG | COM | $239,957,000 | 1,348,622 | SH | None |
| EXELON CORP | EXC | COM | $214,263,000 | 4,606,559 | SH | None |
| SIMON PPTY GROUP INC NEW | SPG | COM | $212,093,000 | 948,914 | SH | None |
| GOLDMAN SACHS GROUP INC | GS | COM | $208,110,000 | 206,096 | SH | None |
| GILEAD SCIENCES INC | GILD | COM | $207,833,000 | 1,648,030 | SH | None |
| WW GRAINGER INC | GWW | COM | $203,271,000 | 149,769 | SH | None |
| THERMO FISHER SCIENTIFIC INC | TMO | COM | $202,518,000 | 405,099 | SH | None |
| WESTERN DIGITAL CORP | WDC | COM | $199,682,000 | 313,139 | SH | None |
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Largest 50 positions by reported value; the filing may contain more positions.
How amendments affect these holdings
This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 5 positions lack a resolved ticker and 0 positions are put or call entries.
A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.
Quarter end and public filing date
Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.