Instuitional Investor - 1832 Asset Management L.p.

Fund Profile
Filing Period:
Fund Name: 1832 Asset Management L.p.
Portfolio Value $131,305,708,384
Filing Period:
No. Security Ticker Shares Value % Port
1. SPY 75,000,000 $51,144,000,000 38.95%
2. TD 32,289,612 $3,041,681,450 2.32%
3. RY 16,861,242 $2,874,673,149 2.19%
4. MSFT 5,645,286 $2,730,173,215 2.08%
5. BN 45,546,724 $2,090,139,164 1.59%