Fund HoldingsPacifica Partners Inc.

Total Portfolio Value
$331.58M
Total Bought
$14.17M
Total Sold
$55.14M
Net Transaction
-$40.97M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
APPLIED MATLS INC30,83029,637-1,19310,53717,8985.40%+7,361
LAM RESEARCH CORP(LRCX)45,91244,218-1,6949,81015,5524.69%+5,742
ADVANCED MICRO DEVICES INC(AMD)30,64922,936-7,7136,23511,8863.58%+5,651
ALPHABET INC(GOOG)051,010+51,010018,1535.47%+18,153
ISHARES TR76,942103,726+26,7848,49411,4193.44%+2,926
APPLE INC(AAPL)57,35856,542-81614,55717,4245.26%+2,867
HENRY JACK & ASSOC INC(JKHY)018,015+18,01502,6460.80%+2,646
WELLS FARGO CO NEW(WFC)049,086+49,08604,1971.27%+4,197
TORONTO DOMINION BK ONT(TD)060,846+60,84607,2522.19%+7,252
AMAZON COM INC(AMZN)46,88145,934-9479,76411,1343.36%+1,370
ROYAL BK CDA(RY)035,796+35,79607,3232.21%+7,323
VISA INC(V)023,154+23,15408,3752.53%+8,375
NVIDIA CORPORATION(NVDA)14,15718,690+4,5332,4693,6351.10%+1,166
CISCO SYS INC(CSCO)33,39733,172-2252,5913,7391.13%+1,147
JPMORGAN CHASE & CO.(JPM)25,06124,766-2957,3728,2802.50%+908
BANK AMERICA CORP94,04392,688-1,3554,5855,4401.64%+856
MICROSOFT CORP(MSFT)028,191+28,191010,9883.31%+10,988
VANGUARD INDEX FDS07,163+7,16302,6410.80%+2,641
ISHARES TR4,0514,212+1612,6463,1530.95%+506
BROOKFIELD CORP(BN)0169,482+169,48207,3532.22%+7,353
BERKSHIRE HATHAWAY INC DEL17,20617,099-1078,2458,6772.62%+432
CANADIAN NATL RY CO(CNI)022,269+22,26902,6940.81%+2,694
JOHNSON & JOHNSON(JNJ)22,17722,013-1645,4215,7881.75%+367
MANULIFE FINL CORP(MFC)54,85853,703-1,1551,8862,2050.67%+319
BANK NOVA SCOTIA HALIFAX18,74318,627-1161,2971,5890.48%+292
BOEING CO(BA)7,8267,939+1131,5581,7970.54%+239
MID-AMER APT CMNTYS INC(MAA)11,56911,56901,4131,6450.50%+232
AMERICAN INTL GROUP INC27,44528,295+8502,0652,2460.68%+181
THERMO FISHER SCIENTIFIC INC(TMO)04,916+4,91602,5720.78%+2,572
ALPHABET INC(GOOG)02,783+2,78301,0010.30%+1,001
OVINTIV INC(OVV)9644,200+3,236572230.07%+165
UNILEVER PLC(UL)23,98224,447+4651,3661,5280.46%+161
TECK RESOURCES LTD(TECK)26,76826,008-7601,3851,5440.47%+160
HOME DEPOT INC(HD)02,448+2,44808760.26%+876
CATERPILLAR INC(CAT)1,8161,497-3191,2871,4420.43%+155
SPDR INDEX SHS FDS
ST PORT MARK ETF
20,08221,435+1,3539421,0960.33%+154
VANGUARD STAR FDS03,082+3,08202610.08%+261
VANGUARD BD INDEX FDS05,124+5,12403750.11%+375
RTX CORPORATION(RTX)26,93726,767-1705,1965,3301.61%+134
ROCKWELL AUTOMATION INC(ROK)01,149+1,14905420.16%+542
ELI LILLY & CO(LLY)0328+32803970.12%+397
WASTE CONNECTIONS INC(WCN)0720+72001210.04%+121
SPDR INDEX SHS FDS
ST STR PO EX ETF
18,63618,741+1058519380.28%+88
ABBVIE INC(ABBV)01,990+1,99005190.16%+519
MASTERCARD INCORPORATED(MA)02,868+2,86801,5470.47%+1,547
KLA CORP(KLAC)0950+95002240.07%+224
BHP GROUP LTD8,3588,258-1006086880.21%+80
UNION PAC CORP(UNP)1,9371,93704705470.16%+77
SPDR SERIES TRUST
ST BLOO HIGH ETF
4101,126+716391080.03%+69
NEXTERA ENERGY INC(NEE)4,0014,971+9703724390.13%+68
BANK MONTREAL QUE5,0054,275-7306777430.22%+67
ASML HOLDING N V
N Y REGISTRY SHS
13713701812420.07%+61
SPDR S&P 500 ETF TR(SPY)0645+64504800.14%+480
ISHARES TR07,614+7,61405790.17%+579
NOUVEAU MONDE GRAPHITE INC030,000+30,0000470.01%+47
SPDR SERIES TRUST
ST STR SP600SM C
3,2313,23103063490.11%+43
SELECT SECTOR SPDR TR
ST STR TECHN ETF
94094001251680.05%+43
NUCOR CORP(NUE)0922+92202030.06%+203
GE AEROSPACE(GE)0426+42601610.05%+161
CANADIAN IMPERIAL BANK OF CO(CM)02,026+2,02602300.07%+230
ISHARES INC
CORE MSCI EMKT
03,883+3,88303100.09%+310
PALO ALTO NETWORKS INC(PANW)0186+1860650.02%+65
ISHARES TR02,501+2,50102760.08%+276
CANADIAN PACIFIC KANSAS CITY(CP)02,002+2,00201740.05%+174
AT&T INC(T)5,3929,137+3,7451561880.06%+32
CHUBB LIMITED
COM
0890+89003210.10%+321
TRANE TECHNOLOGIES PLC(TT)0507+50702420.07%+242
ISHARES TR8,2008,519+3198258560.26%+30
BROOKFIELD INFRASTRUCTURE CO(BIPC)021,928+21,92808530.26%+853
MICRON TECHNOLOGY INC(MU)083+830810.02%+81
FREEPORT-MCMORAN INC(FCX)33,84533,080-7651,9892,0170.61%+27
GE VERNOVA INC(GEV)1081080941200.04%+26
VANGUARD TAX-MANAGED FDS03,806+3,80602690.08%+269
DIMENSIONAL ETF TRUST
US TARGETED VLU
04,000+4,00002750.08%+275
CITIGROUP INC(C)0943+94301320.04%+132
WEST FRASER TIMBER CO LTD(WFG)05,905+5,90504100.12%+410
ARCHER DANIELS MIDLAND CO5,5625,56204044270.13%+23
ISHARES TR0678+67801670.05%+167
SUN LIFE FINANCIAL INC.(SLF)01,328+1,32801050.03%+105
AMGEN INC(AMGN)96796703403620.11%+21
COCA COLA CO(KO)02,663+2,66302240.07%+224
FORTIS INC(FTS)9,4869,48605285490.17%+21
ISHARES TR
0-5YR HI YL CP
01,299+1,2990550.02%+55
ISHARES TR0402+40201200.04%+120
ISHARES TR
CORE MSCI EAFE
02,864+2,86402790.08%+279
INFLARX NV014,210+14,2100320.01%+32
BROOKFIELD RENEWABLE CORP(BEPC)0500+5000180.01%+18
VANGUARD INTL EQUITY INDEX F2,1402,143+31611780.05%+17
TESLA INC(TSLA)0624+62402450.07%+245
ALTRIA GROUP INC(MO)2,4532,45301621780.05%+16
TRAVELERS COMPANIES INC(TRV)3223220941100.03%+16
ISHARES TR0696+69601020.03%+102
ISHARES TR01,570+1,57001630.05%+163
BROOKFIELD RENEWABLE PARTNER
PARTNERSHIP UNIT
12,09512,09503944080.12%+15
MODERNA INC(MRNA)0500+5000400.01%+40
NOVARTIS AG(NVS)1,9841,98403033170.10%+14
MERCK & CO INC(MRK)1,4821,48201781920.06%+14
SCHWAB STRATEGIC TR03,896+3,89601120.03%+112
ISHARES TR0551+5510900.03%+90
HUDBAY MINERALS INC(HBM)010,776+10,77602420.07%+242
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