Manufacturers Life Insurance Company, The Portfolio Stock Holdings

According to the SEC 13F filed on September 9, 2026, Manufacturers Life Insurance Company, The disclosed 2568 stock positions valued at approximately $128.15B as of quarter-end June 30, 2026. The largest holdings include MICROSOFT CORP, NVIDIA CORPORATION, and AMAZON COM INC.

Report Period
June 30, 2026
No. of Stocks
2568
Portfolio Value
$128.15B
Holdings by Sector
Manufacturers Life Insurance Company, The Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
MICROSOFT CORPMSFTTechnology3.12%10,725,305-439,548-3.94%$4,000,706,356
NVIDIA CORPORATIONNVDATechnology2.97%19,009,807-268,305-1.39%$3,803,526,352
AMAZON COM INCAMZNConsumer Cyclical2.78%14,923,246-940,452-5.93%$3,556,828,107
ALPHABET INCGOOGLCommunication Services2.59%9,273,694-1,149,658-11.03%$3,314,105,046
APPLE INCAAPLTechnology2.33%10,302,563-1,099,105-9.64%$2,981,050,811
BROADCOM INCAVGOTechnology1.90%6,445,882+1,135,116+21.37%$2,434,894,020
ROYAL BK CDARYFinancial Services1.79%11,113,364-1,017,148-8.39%$2,296,716,877
TORONTO DOMINION BK ONTTDFinancial Services1.60%16,944,405+17,006+0.10%$2,056,136,265
META PLATFORMS INCMETACommunication Services1.27%2,878,365-139,263-4.61%$1,621,352,973
ELI LILLY & COLLYHealthcare1.25%1,337,665-109,508-7.57%$1,604,453,190
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology0.88%2,349,022-47,922-2.00%$1,121,782,561
MICRON TECHNOLOGY INCMUTechnology0.86%959,599-50,762-5.02%$1,107,637,618
ALPHABET INCGOOGCommunication Services0.86%3,123,535+141,923+4.76%$1,103,632,279
CANADIAN NAT RES LTD MED TERCNQEnergy0.82%26,542,998-203,246-0.76%$1,048,226,628
VANGUARD INDEX FDSVOOOther0.79%1,472,234-35,153-2.33%$1,011,145,034
VANGUARD BD INDEX FDSBNDOther0.75%13,152,216+1,030,722+8.50%$965,588,805
JOHNSON & JOHNSONJNJHealthcare0.74%3,746,452+180,724+5.07%$951,486,414
SHOPIFY INCSHOPTechnology0.72%8,026,490-392,413-4.66%$916,483,821
ADVANCED MICRO DEVICES INCAMDTechnology0.71%1,575,270+184,409+13.26%$914,967,948
TESLA INCTSLAConsumer Cyclical0.71%2,158,459-95,438-4.23%$907,843,049
CANADIAN IMPERIAL BANK OF COCMFinancial Services0.71%7,877,897-245,781-3.03%$905,393,184
STATE STR SPDR S&P 500 ETF TSPYOther0.70%1,202,150-12,178-1.00%$897,729,556
JOHN HANCOCK EXCHANGE TRADEDJHEMOther0.68%21,548,669+2,508,488+13.17%$867,191,706
UNITEDHEALTH GROUP INCUNHHealthcare0.67%2,071,359-507,924-19.69%$860,919,095
KKR & CO INCKKRFinancial Services0.64%8,900,144+794,566+9.80%$816,855,257
JPMORGAN CHASE & COJPMFinancial Services0.63%2,473,477-40,705-1.62%$809,643,669
VISA INCVFinancial Services0.63%2,343,195+445,775+23.49%$803,924,756
SUNCOR ENERGY INC NEWSUEnergy0.62%14,731,583+286,758+1.99%$790,951,923
VANGUARD TAX-MANAGED FDSVEAOther0.57%10,246,137+339,126+3.42%$730,083,331
UNITED RENTALS INCURIIndustrials0.56%632,126-40,058-5.96%$716,129,097
Showing 30 of 2,568 holdings in the latest reporting period.