Fund Holdings

Canada Post Corp Registered Pension Plan

Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
NVIDIA CORPORATION COMMO(NVDA)660,564757,688+97,124115,202,362151,605,7925.29%+36,403,430
0.05COMMON(MU)34,95337,462+2,50911,808,52243,242,0121.51%+31,433,490
INTEL CORPINTEL CORP.(INTC)261,374234,186-27,18811,534,43532,699,3911.14%+21,164,956
ALPHABET INC- CL C COMMON(GOOG)235,735248,295+12,56067,622,94287,730,0723.06%+20,107,130
AMAZON.COM INC(AMZN)325,603367,093+41,49067,813,33787,492,9463.05%+19,679,609
LAM RESEARCH CORP COMMON(LRCX)121,126103,446-17,68025,879,78144,826,2551.56%+18,946,474
ALPHABET INC CAPITAL STOCK CL A COMMO(GOOG)285,991280,714-5,27782,239,572100,318,7623.50%+18,079,190
ADVANCED MICRO DEVICES INC COMMO(AMD)48,04444,790-3,2549,773,59126,018,9590.91%+16,245,368
SPDR S&P 500 ETF TRUST(SPY)98,414106,914+8,50064,002,56179,840,1682.78%+15,837,607
APPLE INC(AAPL)487,801480,147-7,654123,799,016138,935,3364.85%+15,136,320
BROADCOM INC COMMON(AVGO)152,849160,313+7,46447,308,29460,558,2362.11%+13,249,942
KLA-TENCOR CORP(KLAC)9,91188,199+78,28814,593,05626,610,5200.93%+12,017,464
APPLIED MATERIALS INC COMMO26,90428,124+1,2209,195,51820,333,6520.71%+11,138,134
UNITEDHEALTH GROUP INC COMMO(UNH)74,29973,567-73220,104,56630,576,6521.07%+10,472,086
CISCO SYSTEMS INC COMMO(CSCO)226,263221,273-4,99017,555,74625,990,7270.91%+8,434,981
LILLY ELI & CO COMM(LLY)28,06228,062025,810,58633,658,4051.17%+7,847,819
TEXAS INSTRS Inc.(TXN)86,30381,146-5,15716,754,86424,187,1880.84%+7,432,324
PROGRESSIVE CORP OHIO(PGR)14,83546,922+32,0872,940,89010,250,1110.36%+7,309,221
MARVELL TECH RG COMMON(MRVL)021,000+21,00006,255,6900.22%+6,255,690
SANDISK CORP COMMON(SNDK)4,3003,900-4002,731,9628,867,5470.31%+6,135,585
MASTERCARD INCORPORATED CLASS(MA)87,65697,070+9,41443,798,19749,855,1521.74%+6,056,955
GENERAL ELECTRIC RG COMMON(GE)63,86363,863018,122,40423,867,5190.83%+5,745,115
VISA INC COMMON CL A(V)186,421180,780-5,64156,343,88362,023,8102.16%+5,679,927
EDWARDS LIFESCIENCES CORPORATION COMMO177,749218,724+40,97514,234,14019,785,7730.69%+5,551,633
CATERPILLAR INCCATERPILLAR INC.(CAT)25,18221,147-4,03517,840,44022,519,4400.79%+4,679,000
DEVON ENERGY CORPORATION COMMO(DVN)26,698142,348+115,6501,343,4435,881,8190.21%+4,538,376
DELL TECHNOLOGIES INC COMMON(DELL)13,53015,595+2,0652,220,6796,728,6190.23%+4,507,940
HONEYWELL AHONEYWELL AERO RG019,734+19,73404,362,7930.15%+4,362,793
JPMORGAN CHASE & CO(JPM)92,30595,250+2,94527,152,43931,178,1831.09%+4,025,744
PALO ALTO NETWORKS INC COMMON(PANW)19,93019,93003,195,1786,796,5290.24%+3,601,351
YUM CHINA HOLDINGS INC COMMON(YUMC)29,93239,375+9,4431,460,0834,967,9530.17%+3,507,870
TESLA INC COMMON(TSLA)70,95570,955026,377,52129,843,6731.04%+3,466,152
WESTERN DIGITAL CORP(WDC)10,5299,449-1,0802,847,9896,035,2650.21%+3,187,276
ISHARES RUSSELL 2000 ETF57,71157,711014,312,32817,339,2700.60%+3,026,942
THERMO FISHER SCIENTIFIC INC COMMON(TMO)40,58045,314+4,73419,946,28722,718,6270.79%+2,772,340
BANK OF AMERICA CORP319,299321,032+1,73315,565,82618,292,4030.64%+2,726,577
ANTHEM INC COMMON PAR USD0.01(ELV)35,67333,682-1,99110,443,27113,025,8400.45%+2,582,569
CITIGROUP INC COMMON NEW(C)74,91078,910+4,0008,495,54311,044,2440.39%+2,548,701
MORGAN STANLEY(MS)41,54044,340+2,8006,836,2389,268,8340.32%+2,432,596
CROWDSTRIKE HOLDINGS INC COMMON(CRWD)5,6906,060+3702,221,4334,624,6280.16%+2,403,195
CORNING INC(GLW)20,81619,856-9602,830,3525,071,8180.18%+2,241,466
JOHNSON & JOHNSON(JNJ)197,504198,752+1,24848,277,87850,477,0451.76%+2,199,167
GE VERNOVA INC COMMON(GEV)7,3567,316-406,421,0528,595,2760.30%+2,174,224
MERCK & CO INC NEW COMMON(MRK)245,814247,017+1,20329,568,96631,741,6851.11%+2,172,719
ABBVIE INC COMMON(ABBV)60,41260,412013,139,00615,202,0760.53%+2,063,070
UNITED RENTALS INC(URI)5,3585,237-1213,903,6245,932,9450.21%+2,029,321
SCHWAB CHARLES CORP(SCHW)237,664263,922+26,25822,335,66324,352,0830.85%+2,016,420
ROCKWELL AUTOMATION INC COMMO(ROK)8,4529,721+1,2693,033,2544,812,6730.17%+1,779,419
GOLDMAN SACHS GROUP INC COMMO(GS)7,5798,079+5006,411,7588,170,8580.28%+1,759,100
UNION PACIFIC CORP(UNP)44,98446,454+1,47010,914,01812,635,4880.44%+1,721,470
CUMMINS INC COMMON(CMI)9,3249,272-525,016,4986,612,8830.23%+1,596,385
PHILIP MORRIS INTERNATIONAL INC COMMON(PM)50,21754,615+4,3988,302,8799,880,4000.34%+1,577,521
AMPHENOL CORPORATION CL A69,32958,542-10,7878,759,71910,322,1250.36%+1,562,406
ARISTA NETWORKS INC COMMON(ANET)27,49028,420+9303,375,2224,827,9900.17%+1,452,768
WATERS CORPORATION COMMO(WAT)10,79812,360+1,5623,215,6444,635,4940.16%+1,419,850
PROLOGIS INC COMMON REIT(PLD)21,02130,987+9,9662,778,5564,197,8090.15%+1,419,253
CHURCH & DWIGHT INC(CHD)45,92158,869+12,9484,285,3485,703,2290.20%+1,417,881
QUALCOMM INC(QCOM)41,23636,309-4,9275,310,3726,709,5400.23%+1,399,168
MONDELEZ INTL INC CLASS A COMMON(MDLZ)28,33452,167+23,8331,633,1723,017,3390.11%+1,384,167
HOME DEPOT INC(HD)37,11438,443+1,32912,206,42313,558,0770.47%+1,351,654
FIFTH THIRD BANCORP(FITB)65,46177,632+12,1713,041,3184,376,1160.15%+1,334,798
HUMANA INC COM(HUM)5,1895,558+369899,7212,207,7490.08%+1,308,028
DATADOG INC COMMON(DDOG)7,0208,160+1,140828,7112,124,5380.07%+1,295,827
FORTINET INC COMMON(FTNT)13,99015,840+1,8501,143,2632,433,3410.08%+1,290,078
AUTOLIV INC COMMO(ALV)32,03839,762+7,7243,369,1164,619,1520.16%+1,250,036
CITIZENS FINANCIAL GROUP INC COMMON(CFG)36,29948,813+12,5142,176,8513,420,3270.12%+1,243,476
IBM CORPCOMMON(IBM)27,72128,186+4656,719,2937,926,1850.28%+1,206,892
PNC FINANCIAL SERVICES GROUP(PNC)41,23039,705-1,5258,579,5519,776,1650.34%+1,196,614
NETFLIX.COM INCCOM USD0.001(NFLX)150,900219,771+68,87114,509,03515,691,6490.55%+1,182,614
FEDEX CORP(FDX)6,66911,233+4,5642,375,3643,517,3890.12%+1,142,025
M & T BANK CORPORATION COMMO(MTB)12,17015,359+3,1892,515,7823,655,5960.13%+1,139,814
KROGER COMPANY COMMO(KR)17,15942,458+25,2991,241,6252,357,6930.08%+1,116,068
EXPEDIA GROUP INC COMMON(EXPE)4,7858,596+3,8111,104,8092,199,5440.08%+1,094,735
W.W. GRAINGER INC(GWW)1,7732,187+4141,934,0062,975,1950.10%+1,041,189
BANK NEW YORK MELLON CORP COMMO17,60721,607+4,0002,088,7183,124,5880.11%+1,035,870
ANALOG DEVICES INC(ADI)13,72013,547-1734,364,8815,380,4620.19%+1,015,581
CVS HEALTH CORPORATION COMMON(CVS)31,90331,90302,291,2733,300,3650.12%+1,009,092
VERTIV HOLDINGS LLC NPV COMMON(VRT)9,66010,150+4902,420,6033,398,4230.12%+977,820
BERKSHIRE HATHAWAY INC CL B NEW46,09046,090022,086,32823,062,9750.80%+976,647
COCA COLA CO(KO)184,774184,774014,052,06315,016,5830.52%+964,520
VANGUARD FTSE EMERGING MARKETS ETF F170,000170,00009,188,50010,147,3000.35%+958,800
HEWLETT PACKARD ENTERPRISE-WI CO COMMON(HPE)26,03034,730+8,700619,7741,566,6700.05%+946,896
CHARLES RIVER LABORATORIES INTERNATIONALINC C(CRL)17,64517,492-1533,043,7633,967,0110.14%+923,248
POOL CORPORATION COMMO(POOL)6,34010,236+3,8961,282,7722,199,7160.08%+916,944
QUANTA SERVICES INC (PAR 0.00001) - COM3,9954,295+3002,193,3353,092,5720.11%+899,237
WILLIAMS-SONOMA INC(WSM)3,0706,257+3,187559,7531,458,5070.05%+898,754
COHERENT RG(COHR)4,7405,140+4001,129,1152,027,5760.07%+898,461
EBAY INC COMMO(EBAY)37,30838,349+1,0413,395,7744,285,5010.15%+889,727
DEERE & COMPANY COMMO(DE)6,1606,805+6453,469,9284,316,6160.15%+846,688
CIENA CORP COMMON NEW(CIEN)2,4803,680+1,200962,8101,805,2610.06%+842,451
CADENCE DESIGN SYSTEMS INC PRD(CDNS)5,9056,605+7001,640,8222,478,9890.09%+838,167
INTERACTIVE BROKERS GROUP INC COMMO(IBKR)11,77018,370+6,600789,4141,598,9250.06%+809,511
JABIL INC(JBL)6,7106,71001,782,3772,586,5710.09%+804,194
APPLOVIN RG-A COMMON(APP)6,8206,82002,714,3603,513,8690.12%+799,509
ROBINHOOD MKTS RG-A COMMON(HOOD)17,62020,120+2,5001,221,0662,017,6340.07%+796,568
LUMENTUM HOLDINGS INC -W/I COMMON(LITE)1,8002,400+6001,264,9682,059,3440.07%+794,376
BOEING CO(BA)45,47745,47709,051,2879,844,4060.34%+793,119
TERADYNE INC(TER)3,7903,930+1401,123,5831,901,4910.07%+777,908
FEDEX FREIGFEDEX FGHT RG-WI05,116+5,1160772,5160.03%+772,516
HUNTINGTON BANCSHARES(HBAN)183,291205,170+21,8792,868,5043,637,6640.13%+769,160
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