Terminal · Institutions

Every 13F-reported equity position this quarter, with its quarter-over-quarter change — each row traces back to the SEC filing.

AGF INVESTMENTS INC. 13F Holdings -- Portfolio & Top Positions (2022-09-30)

AGF INVESTMENTS INC. (CIK 1157765) reported $10.57B across 434 reported positions in its SEC 13F filing for 2022-09-30. Largest positions: AMZN ($300.1M, 2.84%), UNH ($287.1M, 2.72%), LNG ($285.4M, 2.70%), MPC ($279.2M, 2.64%), RY ($213.9M, 2.02%). Source: SEC Form 13F.

RankTickerCompanyValue% PortfolioSharesAction
1AMZNAmazon.com Inc.$300.1M2.84%2.7MAdded
2UNHUnitedHealth Group Inc.$287.1M2.72%568,486Trimmed
3LNGCheniere Energy Inc.$285.4M2.70%1.7MTrimmed
4MPCMarathon Petroleum Corp.$279.2M2.64%2.8MTrimmed
5RYRoyal Bank of Canada$213.9M2.02%2.4MAdded
6TMUST-Mobile US Inc.$209.1M1.98%1.6MAdded
7RJFRaymond James Financial Inc.$201.9M1.91%2.0MAdded
8AESThe AES Corp.$197.9M1.87%8.8MAdded
9NTRNutrien Ltd.$194.0M1.84%2.3MAdded
10TDToronto-Dominion Bank$179.0M1.69%2.9MAdded
11MSFTMicrosoft Corp.$173.8M1.64%746,202Trimmed
12ALBAlbemarle Corp.$168.2M1.59%636,215Trimmed
13ENBEnbridge Inc.$165.3M1.56%4.5MAdded
14PANWPalo Alto Networks Inc.$145.4M1.38%887,705Added
15CNQCanadian Natural Resources Ltd.$143.4M1.36%3.1MAdded
16STZConstellation Brands Inc.$141.5M1.34%615,951Trimmed
17XLKSPDR S&P Technology Select Sector ETF$140.4M1.33%1.2MTrimmed
18ABBVAbbVie Inc.$137.6M1.30%1.0MAdded
19BNBrookfield Asset Management Inc.$127.8M1.21%3.1MTrimmed
20WMWaste Management Inc.$126.2M1.19%787,822Trimmed
21JNJJohnson & Johnson$126.1M1.19%771,890Added
22BMOBank of Montreal$124.1M1.17%1.4MTrimmed
23XLVHealth Care Select Sector SPDR ETF$122.7M1.16%1.0MAdded
24GWWWW Grainger Inc.$115.9M1.10%236,888Added
25HLTHilton Worldwide Holdings Inc.$113.7M1.08%942,775Trimmed

Source: SEC Form 13F filings · as of 2022-09-30