- New Purchases: RBLX, XLB, FERG, KRE, CPNG, MEDP, WFG, MOO, APGB.U, BHP, GTPBU, PICK, KVSC, OPEN, RTPYU, UBS, SMH, VYGG, AJAX, APAM, ASZ.U, CPUH, DNB, GIIXU, GSEVU, GMII, GTPAU, HTH, JWSM, KVSB, KAHC.U, LUMN, MODV, NDACU, OCDX, PSFE, SVFA, TRQ, AGCB, AEL, AMRS, ARCB, AAC, ASX, AAWW, AUS.U, BLMN, BOAC.U, BBIO, BTNB, CZR, CPRI, CMRX, CCVI.U, CVII.U, CLIM, CPA, CORT, CRH, CGEM, CTMX, DNN, DCOM, DMYD, DGNR, DGNU, UUUU, FWAA, FCF, FVRR, FACT.U, HERAU, GEO, GHVI, HLXA, HZON, HIIIU, INFN, SPFR, KCAC.U, KCAC.U, KCAC.U, KVSA, KNTE, KRNT, MRVI, HZO, CASH, MTEM, MORF, MYE, NGM, NGAB, NOV, NUAN, OLK, OGI, OHPAU, OSCR, OSIS, PENN, PLRX, PLUG, DTIL, PDS, RXDX, RXDX, PRTA, PYR, RPAY, RUTH, SANA, SCR, SFBS, SWIR, SLDB, SPAQ.U, SPAQ.U, STPC, SNCY, STKL, SNII.U, SGRY, SVFB, SVFC, REAL, TBA, TDUP, TM, VALE, VGK, WDR, WPRT, WPP,
- Added Positions: SPY, TLT, QQQ, MSFT, AMZN, TJX, SU, AAPL, EFA, MGA, ZM, GOOG, CVX, DIS, NEM, GOOGL, BAM, BIP, EWU, EMB, MDT, ACN, CNQ, FTNT, HRL, JPM, LVS, EL, LYV, LOGI, MA, NFLX, NTR, OKTA, PINS, RCI, XLI, SHOP, TSLA, TXN, ABC, BAC, CVE, CTXS, CMCSA, COUP, DUK, ECL, FB, HCA, HON, EWT, MCHP, MSCI, PEP, QSR, SE, SNAP, TWLO, XEL, ABT, AXP, ADP, BSY, BLK, CHE, CMS, CCEP, COST, CVS, XRAY, DASH, EBAY, XOM, GNTX, HOLX, HUBS, FWONK, LLY, MCK, NCNO, ODFL, LUV, STN, TRI, TRV, V, WCN, WEC, ZEN, ZTS, MMM, ACHC, ADBE, AES, ALL, AMT, AMGN, APTV, ASML, AZN, TEAM, AVTR, AVY, BLL, BCC, BRKR, CPB, CAH, CVNA, CASY, CTLT, CAT, CHTR, CMG, CTSH, COP, COO, CPG, CRWD, DPZ, ETN, EMR, ENPH, EFX, ELS, ETSY, EVRG, ES, EXEL, FIVN, FLT, FMC, GNRC, GE, GILD, GS, GGG, GWW, JKHY, HLT, IAC, ILMN, IR, INTC, IBM, INTU, EWA, EWQ, LQD, JD, KSU, KEY, KL, LH, LSPD, LIN, LYB, MRO, MELI, MRNA, MS, ORCL, ORLY, OM, PCAR, PKG, PRGO, PSX, PGR, PSA, PHM, QDEL, RS, RIO, ROKU, RHP, SEE, SWKS, SJM, SPOT, SBUX, TSM, TGT, TFX, TXT, TT, TRMB, RARE, UNP, UNH, VEEV, WDC, WPM, WING, TXG, MASS, ABBV, A8C3, XLRN, ATVI, ADPT, ADCT, ADT, ADVM, A, AGIO, ADC, AL, AKRO, AGI, ALK, ALB, ALC, AXU, ALKS, LNT, ALLO, ALNY, ATUS, AMED, AAL, ACC, USAS, AMSF, AME, APH, ANSS, ANTM, APA, APLS, APOG, ADM, ARQT, ARGX, ARRY, ARVN, AIZ, AVIR, ATRC, ACB, ADSK, AVNS, RNA, AXS, AXNX, BTG, BKR, BLDP, BHC, BGNE, BRBR, BLI, WRB, BIIB, BNTX, BJRI, BKI, BB, BX, BLUE, BPMC, BA, BKNG, SAM, BFAM, BMY, BBU, BG, BURL, BNR, BWXT, CALM, GOOS, CGC, COF, CFFN, CCL, CARR, CVCO, CBOE, CDW, CE, CLS, CLDX, CENTA, CPF, CERE, CDAY, CERT, CF, LNG, CHWY, CB, CNK, CHCO, CLVT, CLX, NET, COKE, CDXS, CGNX, CFX, CIGI, FIX, CHCT, CNST, CSTM, CPRT, GLW, CRON, CFB, CCI, CTS, CUBE, CVAC, CVBF, CYBR, DHI, DCPH, DE, DELL, DAL, DNLI, DENN, DVN, DEO, FANG, DFS, DISCA, LPG, DOV, DKNG, DRE, DXC, EWBC, EGP, EMN, EW, ELAN, ESLT, EGO, ESI, EIG, EHC, EXK, EPAC, ENTG, NVST, EPAM, EQX, EQH, EQBK, ESNT, EEFT, EVTC, EXAS, EXC, EXPE, FFIV, FAST, FBK, FRT, FSS, RACE, FRGI, FITB, FBP, FBMS, FR, AG, FRC, FSV, FISV, FIVE, FBC, FLIR, FTV, FSM, FOX, FELE, BEN, FCX, GTHX, GPS, IT, GIS, GPC, GFL, GIL, GBT, GPN, GLOB, GMED, GOCO, GFI, GLDG, GPI, PAC, GH, HAIN, HAL, HLNE, HNGR, THG, HWKN, HDB, HTLD, HLIO, HTBK, HFWA, HPE, HEXO, HFC, HMST, FIXX, HMN, HWM, HUBG, HBM, HUM, HBAN, HII, HURN, IAG, ICUI, IDYA, IEX, IGMS, ITW, IMUX, IMO, INCY, INVA, INSM, PODD, NTLA, IFF, IP, ISRG, IVZ, NVTA, IONS, IRTC, IGSB, IWN, ISEE, JBT, JCI, JLL, KRTX, K, KMPR, KDP, KEYS, KIM, KGC, KREF, KOD, PHG, KTOS, KR, KRON, KYMR, LB, LHX, LSTR, LSCC, LDOS, LEN, LBRDA, LBRT, LNC, LNN, LAC, LFUS, LOB, LKQ, LOW, MTB, MDC, MHO, MAG, MANH, MANT, MPC, MKTX, MRTN, MLAB, MEOH, MEI, MTD, MGEE, MAA, MSEX, MRTX, MBT, MHK, MOH, MDB, MOS, MSI, MLI, MPLN, MYRG, NBHC, NATI, NSA, NBTB, NP, NTAP, NBIX, EDU, NWL, NWSA, NWS, NXE, NEX, NICE, NLSN, NI, NOMD, NOC, NWBI, NWN, NWE, NLOK, NCLH, NVS, NVAX, OSH, OLLI, OPCH, ORTX, OBNK, ORLA, OR, PACB, PPBI, PD, PAGS, PANW, PAAS, PSN, PAYX, PCTY, PTON, PNTG, PFSI, PEN, PBCT, PHR, PNFP, PLXS, PII, POST, PPD, PPG, PRAA, PRLD, PVG, PRI, PRMW, PFHD, PROF, PTGX, PTC, PTCT, LUNG, PVH, QRVO, KWR, PWR, QTRX, DGX, RDUS, RL, RAPT, RTX, O, RETA, RDFN, RBC, REGN, RGNX, RF, RLAY, RNR, RGEN, REPL, RMD, REXR, REYN, RHI, RCKT, ROP, ROST, RCL, RPRX, RPM, SAFT, SAGE, SAFM, SAND, SASR, JBSS, SANM, SAP, SBAC, SLB, SRRK, SA, SBCF, STX, SGEN, SEER, SEIC, SIGI, SLQT, SRE, SENEA, ST, MCRB, SWAV, SVM, SILV, SJW, SKY, SLM, SBSI, SWX, DIA, SWTX, SII, SPXC, SQ, SMP, SCL, STEP, STC, STOK, STNE, SRI, SNEX, RGR, SIVB, SYKE, SYF, SNDX, SNPS, TTWO, TPR, TEL, TDOC, TMX, TTEK, TFII, TGTX, TTC, TOT, TSCO, TW, TAC, TDG, TBIO, TRU, THS, TRIL, TCOM, TTEC, TPTX, TWST, TWTR, TYL, TSN, UBER, UFPI, ULTA, UAA, UA, QURE, UAL, URI, UTHR, UNM, UPWK, USB, UTZ, VLO, VAR, VRSN, VRSK, VIAC, VTRS, VMD, VFF, VSTO, VMW, VNO, WAB, WMG, WAT, W, WU, WRK, WEX, WY, WHR, WMB, WK, WWE, WPC, WYNN, XNCR, XP, YNDX, YUMC, ZLAB, ZNTL, Z, ZBH, ZS, ZYME, ZNGA,
- Reduced Positions: IWM, HYG, SJR, MRK, SPGI, PG, KO, LMT, FNV, ALXN, BNS, BR, CP, BCE, MKC, AEM, ENB, HD, NKE, CRM, TU, TD, AMD, BABA, GOLD, FIS, WMT, XLNX, BIPC, LRCX, MMC, MU, T, AVGO, DDOG, FTCH, FTS, ICE, EWY, LPLA, MLM, QCOM, NOW, TMO, EMLC, VRTX, ANET, AVLR, BMO, CRL, CME, DOCU, D, EQIX, EEM, MRVL, MXIM, NXPI, PYPL, RSG, RBA, SPLK, TPGY, U, VZ, WM, WLTW, WIX, ABNB, ARE, ALGN, DOX, AIG, AMP, AMAT, ASND, OZK, BRK.B, CDNS, KMX, CNC, CHKP, CIXX, CI, DHR, DG, DLTR, DBX, EXPO, FLS, AJG, GRSV, HPQ, IDXX, INFO, IRM, IGIB, MCHI, JNJ, KKR, LW, LBRDK, LSXMA, SHOO, MAR, MTCH, MMS, MGM, MPWR, MNST, NDAQ, NEP, NSC, NVR, OMC, PH, PAYC, POOL, PRAH, TROW, PFPT, ROK, XLE, XLK, SBNY, WORK, IPOE, XHB, SSNC, STE, SYK, TAL, TECK, VFC, MTN, VWO, WDFC, WAL, XPO, ABST, ACAD, AAP, AFL, AGNC, APD, AKAM, ALG, AIN, AA, Y, ALLY, MO, AMCR, AWR, UHAL, AEP, AFG, AWK, ADI, AU, NLY, AON, TLRY, TLRY, APO, ATR, ARMK, MT, ACGL, ARW, ATH, AUPH, ATHM, ALV, AZO, AXTA, AXSM, BIDU, BKU, BBY, BILL, BWA, BRC, BSIG, BCO, BTI, BEPC, BRO, BF.B, CHRW, CABO, COG, CAE, CWT, CPT, CCJ, CG, CERN, GTLS, CPK, CHD, CTAS, C, CFG, COLB, ED, CSGP, CCK, CSGS, CMI, DVA, DSGX, DXCM, DRNA, DLR, DIOD, DISCK, DCBO, UFS, DOW, DTE, DD, DT, DEA, EA, ENTA, ERF, ETR, EPD, EOG, ERIE, ESE, WTRG, ESS, RE, EXLS, EXPD, FDS, FGEN, FNF, FLO, FBHS, GRMN, THRM, GTY, ROCK, GL, GRP.U, GWRE, HBI, HIG, HAS, HE, HEI, HEI.A, HSIC, HSY, HOMB, HZNP, JBHT, ICLR, IDA, NARI, IPAR, INVH, IOVA, EWG, J, JAZZ, JBGS, KALU, KMB, KLAC, KNX, KHC, LAZ, LAZY, LCII, LEG, LII, LBTYA, LBTYK, LSI, L, LPX, LULU, MBUU, MAS, MATX, MPW, MTH, MTOR, MRSN, MIST, MTX, TAP, MDLZ, MNRO, MCO, MSA, MSM, NGG, NTES, NVRO, NGD, NXST, NEEPQ, NEEPP, NEEPP, EGOV, NKTX, NMIH, NDSN, NG, NOVT, NVCR, NRG, NUE, NUVA, OAS, OGE, OHI, ON, OGS, OC, OZON, PDFS, PBA, PNR, PSTH, PM, PDD, PXD, PNC, PSMT, PRGS, PLD, PB, PSB, PEG, QLYS, RJF, RRGB, REG, RGA, RCII, RH, RNG, RGLD, SAIA, SRPT, XLF, SMTC, SITE, SNOW, IPOF, IPOD, SEDG, SON, SSB, SR, SPSC, STT, STLD, RUN, TAK, TNDM, TER, TTD, TR, TREX, TPH, TFC, UGI, UNF, UCBI, UPS, UHS, VER, VICI, VOYA, VMC, WSO, WTS, WBS, WELL, WST, WABC, WDAY, XRX, ZBRA, ZG,
- Sold Out: GDX, RTP, XLU, OSB, STLA, IPHI, BFT, CCIV, FAII, TIF, MIDD, PACE, AZPN, OLED, ASAN, AACQ, KAR, VRT, GHVIU, VRM, PFGC, ORI, MKSI, NAK, NJR, NFG, MTRN, MIK, MDU, 1JE1, PAE, RTPZ.U, REGI, SLGN, GLD, SFM, STRA, TH, FTI, SNPR.U, TCDA, VXRT, VNT, WVE, BBD, RDY, DEI, CUB, CXO, CCOI, CDNA, CRDF, BKH, DYN, AVA, ABG, ARCT, AIT, APG, AMRN, ALE, AKUS, IMVT, LEGN, KPTI, KAMN, AJRD, SPFR.U, EEMV, INFY, IMV, MDGL, HMCOU, HMSY, HAACU, GWPH, GNMK, FPRX, ENVA,
For the details of TD Asset Management Inc's stock buys and sells, go to https://www.gurufocus.com/guru/td+asset+management+inc/current-portfolio/portfolio
These are the top 5 holdings of TD Asset Management Inc- S&P 500 ETF TRUST ETF (SPY) - 15,761,409 shares, 7.00% of the total portfolio. Shares added by 15.95%
- Royal Bank of Canada (RY) - 30,319,248 shares, 3.13% of the total portfolio. Shares reduced by 0.09%
- The Toronto-Dominion Bank (TD) - 39,086,935 shares, 2.86% of the total portfolio. Shares reduced by 2.11%
- Microsoft Corp (MSFT) - 10,378,688 shares, 2.74% of the total portfolio. Shares added by 6.29%
- Apple Inc (AAPL) - 16,132,474 shares, 2.21% of the total portfolio. Shares added by 5.82%
TD Asset Management Inc initiated holding in Materials Select Sector SPDR. The purchase prices were between $70.34 and $79.69, with an estimated average price of $75.18. The stock is now traded at around $87.910000. The impact to a portfolio due to this purchase was 0.06%. The holding were 698,732 shares as of 2021-03-31.
New Purchase: Roblox Corp (RBLX)TD Asset Management Inc initiated holding in Roblox Corp. The purchase prices were between $64.5 and $77, with an estimated average price of $69.7. The stock is now traded at around $70.950000. The impact to a portfolio due to this purchase was 0.06%. The holding were 821,336 shares as of 2021-03-31.
New Purchase: SPDR S&P Regional Banking ETF (KRE)TD Asset Management Inc initiated holding in SPDR S&P Regional Banking ETF. The purchase prices were between $51.46 and $70.75, with an estimated average price of $62.15. The stock is now traded at around $71.200000. The impact to a portfolio due to this purchase was 0.05%. The holding were 702,000 shares as of 2021-03-31.
New Purchase: Ferguson PLC (FERG)TD Asset Management Inc initiated holding in Ferguson PLC. The purchase prices were between $117.65 and $126.66, with an estimated average price of $121.04. The stock is now traded at around $131.030000. The impact to a portfolio due to this purchase was 0.05%. The holding were 377,442 shares as of 2021-03-31.
New Purchase: Medpace Holdings Inc (MEDP)TD Asset Management Inc initiated holding in Medpace Holdings Inc. The purchase prices were between $132.02 and $168.26, with an estimated average price of $153.2. The stock is now traded at around $164.680000. The impact to a portfolio due to this purchase was 0.04%. The holding were 202,113 shares as of 2021-03-31.
New Purchase: West Fraser Timber Co.Ltd (WFG)TD Asset Management Inc initiated holding in West Fraser Timber Co.Ltd. The purchase prices were between $59.67 and $74.4, with an estimated average price of $66.04. The stock is now traded at around $78.710000. The impact to a portfolio due to this purchase was 0.04%. The holding were 453,887 shares as of 2021-03-31.
Added: iShares 20+ Year Treasury Bond ETF (TLT)TD Asset Management Inc added to a holding in iShares 20+ Year Treasury Bond ETF by 154.86%. The purchase prices were between $133.74 and $156.95, with an estimated average price of $144.6. The stock is now traded at around $137.080000. The impact to a portfolio due to this purchase was 0.44%. The holding were 4,769,585 shares as of 2021-03-31.
Added: PowerShares QQQ Trust Ser 1 (QQQ)TD Asset Management Inc added to a holding in PowerShares QQQ Trust Ser 1 by 31.97%. The purchase prices were between $299.56 and $336.03, with an estimated average price of $319.4. The stock is now traded at around $326.390000. The impact to a portfolio due to this purchase was 0.24%. The holding were 2,815,691 shares as of 2021-03-31.
Added: TJX Companies Inc (TJX)TD Asset Management Inc added to a holding in TJX Companies Inc by 101.42%. The purchase prices were between $62.55 and $70.23, with an estimated average price of $66.94. The stock is now traded at around $72.430000. The impact to a portfolio due to this purchase was 0.15%. The holding were 3,861,233 shares as of 2021-03-31.
Added: Suncor Energy Inc (SU)TD Asset Management Inc added to a holding in Suncor Energy Inc by 20.81%. The purchase prices were between $16.72 and $23.53, with an estimated average price of $19.57. The stock is now traded at around $23.230000. The impact to a portfolio due to this purchase was 0.14%. The holding were 35,227,682 shares as of 2021-03-31.
Added: Magna International Inc (MGA)TD Asset Management Inc added to a holding in Magna International Inc by 21.89%. The purchase prices were between $69.71 and $93.68, with an estimated average price of $81.12. The stock is now traded at around $96.600000. The impact to a portfolio due to this purchase was 0.12%. The holding were 6,713,842 shares as of 2021-03-31.
Added: iShares MSCI EAFE ETF (EFA)TD Asset Management Inc added to a holding in iShares MSCI EAFE ETF by 20.70%. The purchase prices were between $72.39 and $76.92, with an estimated average price of $75.3. The stock is now traded at around $79.560000. The impact to a portfolio due to this purchase was 0.12%. The holding were 7,970,288 shares as of 2021-03-31.
Sold Out: VanEck Vectors Gold Miners ETF (GDX)TD Asset Management Inc sold out a holding in VanEck Vectors Gold Miners ETF. The sale prices were between $30.9 and $38.51, with an estimated average price of $34.07.
Sold Out: Reinvent Technology Partners (RTP)TD Asset Management Inc sold out a holding in Reinvent Technology Partners. The sale prices were between $10.1 and $15.7, with an estimated average price of $12.16.
Sold Out: Tiffany & Co (TIF)TD Asset Management Inc sold out a holding in Tiffany & Co. The sale prices were between $131.43 and $131.46, with an estimated average price of $131.45.
Sold Out: Norbord Inc (OSB)TD Asset Management Inc sold out a holding in Norbord Inc. The sale prices were between $39.92 and $45.31, with an estimated average price of $42.46.
Sold Out: TPG Pace Tech Opportunities Corp (PACE)TD Asset Management Inc sold out a holding in TPG Pace Tech Opportunities Corp. The sale prices were between $9.91 and $12.19, with an estimated average price of $10.91.
Sold Out: Asana Inc (ASAN)TD Asset Management Inc sold out a holding in Asana Inc. The sale prices were between $26.16 and $41.49, with an estimated average price of $34.64.
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