Instuitional Investor - 1832 Asset Management L.p.

Fund Profile
Filing Period:
Fund Name: 1832 Asset Management L.p.
Portfolio Value $128,163,505,113
Filing Period:
No. Security Ticker Shares Value % Port
1. SPY 108,050,000 $66,758,692,500 52.09%
2. MSFT 4,998,629 $2,486,368,051 1.94%
3. RY 16,476,797 $2,167,522,645 1.69%
4. TD 22,548,848 $1,656,212,886 1.29%
5. NVDA 10,454,937 $1,651,775,497 1.29%