Canada Post Corp Registered Pension Plan Portfolio Stock Holdings

According to the SEC 13F filed on July 15, 2026, Canada Post Corp Registered Pension Plan disclosed 492 stock positions valued at approximately $2.87B as of quarter-end June 30, 2026. The largest holdings include NVIDIA CORPORATION COMMO, MICROSOFT CORP, and APPLE INC.

Report Period
June 30, 2026
No. of Stocks
492
Portfolio Value
$2.87B
Holdings by Sector
Canada Post Corp Registered Pension Plan Portfolio Holdings in Q2 2026

486 holdings in the latest reporting period.

Page 1 of 5
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
NVIDIA CORPORATION COMMONVDATechnology5.29%757,688+97,124+14.70%$151,605,792
MICROSOFT CORPMSFTTechnology5.07%389,783-3,708-0.94%$145,396,855
APPLE INCAAPLTechnology4.85%480,147-7,654-1.57%$138,935,336
ALPHABET INC CAPITAL STOCK CL A COMMOGOOGLCommunication Services3.50%280,714-5,277-1.85%$100,318,762
ALPHABET INC- CL C COMMONGOOGCommunication Services3.06%248,295+12,560+5.33%$87,730,072
AMAZON.COM INCAMZNConsumer Cyclical3.05%367,093+41,490+12.74%$87,492,946
SPDR S&P 500 ETF TRUSTSPYOther2.78%106,914+8,500+8.64%$79,840,168
VISA INC COMMON CL AVFinancial Services2.16%180,780-5,641-3.03%$62,023,810
BROADCOM INC COMMONAVGOTechnology2.11%160,313+7,464+4.88%$60,558,236
FACEBOOK INC CL A COMMOMETACommunication Services1.83%93,212+993+1.08%$52,505,387
JOHNSON & JOHNSONJNJHealthcare1.76%198,752+1,248+0.63%$50,477,045
MASTERCARD INCORPORATED CLASSMAFinancial Services1.74%97,070+9,414+10.74%$49,855,152
LAM RESEARCH CORP COMMONLRCXOther1.56%103,446-17,680-14.60%$44,826,255
0.05COMMONMUTechnology1.51%37,462+2,509+7.18%$43,242,012
LILLY ELI & CO COMMLLYHealthcare1.17%28,062--$33,658,405
INTEL CORPINTEL CORP.INTCTechnology1.14%234,186-27,188-10.40%$32,699,391
MERCK & CO INC NEW COMMONMRKHealthcare1.11%247,017+1,203+0.49%$31,741,685
JPMORGAN CHASE & COJPMFinancial Services1.09%95,250+2,945+3.19%$31,178,183
UNITEDHEALTH GROUP INC COMMOUNHHealthcare1.07%73,567-732-0.99%$30,576,652
TESLA INC COMMONTSLAConsumer Cyclical1.04%70,955--$29,843,673
KLA-TENCOR CORPKLACTechnology0.93%88,199+78,288+789.91%$26,610,520
ADVANCED MICRO DEVICES INC COMMOAMDTechnology0.91%44,790-3,254-6.77%$26,018,959
CISCO SYSTEMS INC COMMOCSCOTechnology0.91%221,273-4,990-2.21%$25,990,727
SCHWAB CHARLES CORPSCHWFinancial Services0.85%263,922+26,258+11.05%$24,352,083
TEXAS INSTRS Inc.TXNTechnology0.84%81,146-5,157-5.98%$24,187,188
EXXON MOBIL CORPORATION COMMOXOMEnergy0.84%175,330+2,492+1.44%$23,971,118
GENERAL ELECTRIC RG COMMONGEIndustrials0.83%63,863--$23,867,519
BERKSHIRE HATHAWAY INC CL B NEWBRK-BFinancial Services0.80%46,090--$23,062,975
THERMO FISHER SCIENTIFIC INC COMMONTMOHealthcare0.79%45,314+4,734+11.67%$22,718,627
CATERPILLAR INCCATERPILLAR INC.CATIndustrials0.79%21,147-4,035-16.02%$22,519,440
APPLIED MATERIALS INC COMMOAMATTechnology0.71%28,124+1,220+4.53%$20,333,652
EDWARDS LIFESCIENCES CORPORATION COMMOEWHealthcare0.69%218,724+40,975+23.05%$19,785,773
BANK OF AMERICA CORPBACFinancial Services0.64%321,032+1,733+0.54%$18,292,403
ISHARES RUSSELL 2000 ETFIWMOther0.60%57,711--$17,339,270
SALESFORCE.COM INC COMMONCRMTechnology0.56%101,639-5,870-5.46%$15,922,766
NETFLIX.COM INCCOM USD0.001NFLXCommunication Services0.55%219,771+68,871+45.64%$15,691,649
WALMART INCWMTConsumer Defensive0.54%137,746-2,161-1.54%$15,601,112
BOOKING HOLDINGS INC COMMONBKNGConsumer Cyclical0.54%87,450+83,768+2275.07%$15,587,088
ABBVIE INC COMMONABBVHealthcare0.53%60,412--$15,202,076
COCA COLA COKOConsumer Defensive0.52%184,774--$15,016,583
ABBOTT LABORATORIESABTHealthcare0.49%153,326-5,182-3.27%$13,912,801
HOME DEPOT INCHDConsumer Cyclical0.47%38,443+1,329+3.58%$13,558,077
ANTHEM INC COMMON PAR USD0.01ELVHealthcare0.45%33,682-1,991-5.58%$13,025,840
UNION PACIFIC CORPUNPIndustrials0.44%46,454+1,470+3.27%$12,635,488
US BANCORP DEL COMMON NEWUSBFinancial Services0.43%204,676-28,778-12.33%$12,362,430
TJX COMPANIES INC COMMONTJXConsumer Cyclical0.43%81,557-5,372-6.18%$12,355,886
AUTOZONE INCAZOConsumer Cyclical0.42%3,741+354+10.45%$11,956,012
CHEVRON CORPORATION COMMOCVXEnergy0.42%71,836-4,601-6.02%$11,907,535
MERCADOLIBRE INC COMMOMELIConsumer Cyclical0.39%6,645-103-1.53%$11,279,157
CITIGROUP INC COMMON NEWCFinancial Services0.39%78,910+4,000+5.34%$11,044,244
COSTCO WHOLESALE CORPCOSTConsumer Defensive0.38%11,606--$10,857,065
AMPHENOL CORPORATION CL AAPHTechnology0.36%58,542-10,787-15.56%$10,322,125
PROGRESSIVE CORP OHIOPGRFinancial Services0.36%46,922+32,087+216.29%$10,250,111
VANGUARD FTSE EMERGING MARKETS ETF FVWOOther0.35%170,000--$10,147,300
PHILIP MORRIS INTERNATIONAL INC COMMONPMConsumer Defensive0.34%54,615+4,398+8.76%$9,880,400
BOEING COBAIndustrials0.34%45,477--$9,844,406
HILTON INC COMMOHLTConsumer Cyclical0.34%29,657-10,805-26.70%$9,800,452
PFIZER INCPFEHealthcare0.34%406,760-9,791-2.35%$9,794,781
GILEAD SCIENCES INC COMMONGILDHealthcare0.34%77,429-9,371-10.80%$9,782,380
PNC FINANCIAL SERVICES GROUPPNCFinancial Services0.34%39,705-1,525-3.70%$9,776,165
UBER TECHNOLOGIES INC COMMONUBERTechnology0.33%132,992-450-0.34%$9,596,703
DISNEY (WALT) COMPANY HOLDING CODISCommunication Services0.33%97,368+5,919+6.47%$9,371,670
MORGAN STANLEYMSFinancial Services0.32%44,340+2,800+6.74%$9,268,834
PROCTER & GAMBLE Co.PGConsumer Defensive0.32%61,640--$9,038,890
INTUITIVE SURGICAL INC COMISRGHealthcare0.31%22,576--$8,978,024
WELLS FARGO & CO (NEW)WFCFinancial Services0.31%107,614-2,860-2.59%$8,893,221
SANDISK CORP COMMONSNDKOther0.31%3,900-400-9.30%$8,867,547
THE CIGNA RG REGISTERED SHS COMMONCIHealthcare0.31%32,059--$8,838,025
EQUIFAX INC COMMONEFXIndustrials0.31%55,270--$8,772,454
FERGUSON ENTERPRISED INC COMMONFERGIndustrials0.30%36,251-6,503-15.21%$8,603,450
GE VERNOVA INC COMMONGEVUtilities0.30%7,316-40-0.54%$8,595,276
AMGEN INC COMMOAMGNHealthcare0.29%23,296+943+4.22%$8,435,948
GOLDMAN SACHS GROUP INC COMMOGSFinancial Services0.28%8,079+500+6.60%$8,170,858
IBM CORPCOMMONIBMTechnology0.28%28,186+465+1.68%$7,926,185
DUKE ENERGY CORP NEW COM NDUKUtilities0.28%62,445-528-0.84%$7,904,288
NEXTERA ENERGY INC COMMONNEEUtilities0.25%81,401+3,457+4.44%$7,144,566
PEPSICO INCPEPConsumer Defensive0.24%50,469-806-1.57%$6,833,503
PALO ALTO NETWORKS INC COMMONPANWTechnology0.24%19,930--$6,796,529
PALANTIR TCHNL-A RG COMMONPLTRTechnology0.24%57,770--$6,740,026
DELL TECHNOLOGIES INC COMMONDELLTechnology0.23%15,595+2,065+15.26%$6,728,619
QUALCOMM INCQCOMTechnology0.23%36,309-4,927-11.95%$6,709,540
RTX RG REGISTERED SHS COMMONRTXIndustrials0.23%35,219-1,350-3.69%$6,682,101
CUMMINS INC COMMONCMIIndustrials0.23%9,272-52-0.56%$6,612,883
CONSTELLATION BRANDS INC CL ASTZConsumer Defensive0.23%46,696--$6,494,947
GENERAL MOTORS COMPANY COMMONGMConsumer Cyclical0.22%83,273+891+1.08%$6,418,683
FREEPORT-MCMORAN INC COMMOFCXBasic Materials0.22%101,908+980+0.97%$6,408,994
MCDONALDS CORPMCDConsumer Cyclical0.22%23,508-1,101-4.47%$6,354,447
SYNOPSYS INC COMMOSNPSTechnology0.22%14,185--$6,327,503
COLGATE PALMOLIVE COCLConsumer Defensive0.22%68,937+140+0.20%$6,320,144
MARVELL TECH RG COMMONMRVLTechnology0.22%21,000+21,000+100.00%$6,255,690
VERIZON COMMUNICATIONS COMMOVZCommunication Services0.22%147,323+12,647+9.39%$6,237,656
SOUTHERN COPPER CORP DEL COMMOSCCOBasic Materials0.22%35,539-2,202-5.83%$6,193,026
ORACLE CORPORATIONORCLTechnology0.22%42,076+1,300+3.19%$6,166,238
WESTERN DIGITAL CORPWDCTechnology0.21%9,449-1,080-10.26%$6,035,265
CSX CORP COMMONCSXIndustrials0.21%125,509-8,546-6.37%$5,965,443
UNITED RENTALS INCURIIndustrials0.21%5,237-121-2.26%$5,932,945
CME GROUP INC COMMOCMEFinancial Services0.21%26,670-1,164-4.18%$5,889,536
DEVON ENERGY CORPORATION COMMODVNEnergy0.21%142,348+115,650+433.18%$5,881,819
CHURCH & DWIGHT INCCHDConsumer Defensive0.20%58,869+12,948+28.20%$5,703,229
UNITED PARCEL SERVICE CL B COMMOUPSIndustrials0.20%53,034+2,115+4.15%$5,701,155
Canada Post Corp Registered Pension Plan Portfolio Stock Holdings | InsiderSet