Instuitional Investor - Cibc Asset Management Inc

Fund Profile
Filing Period:
Fund Name: Cibc Asset Management Inc
Portfolio Value $40,917,592,531
Filing Period:
No. Security Ticker Shares Value % Port
1. RY 10,477,058 $1,693,343,846 4.14%
2. NVDA 8,631,420 $1,505,058,224 3.68%
3. AAPL 5,222,142 $1,325,100,806 3.24%
4. TD 11,954,710 $1,116,802,978 2.73%
5. MSFT 2,755,893 $1,019,933,968 2.49%