TD Asset Management

TD Asset Management Portfolio holdings

AUM $117B
1-Year Return 25.17%
This Quarter Return
-15.11%
1 Year Return
+25.17%
3 Year Return
+87.06%
5 Year Return
+156.45%
10 Year Return
+305.53%
AUM
$86.3B
AUM Growth
-$23B
Cap. Flow
-$4.26B
Cap. Flow %
-4.93%
Top 10 Hldgs %
27.54%
Holding
1,538
New
56
Increased
352
Reduced
823
Closed
81

Sector Composition

1 Financials 20.11%
2 Technology 17.74%
3 Healthcare 10.68%
4 Consumer Discretionary 8.17%
5 Communication Services 8.13%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
XMTR icon
1076
Xometry
XMTR
$2.51B
$1.57M ﹤0.01%
46,122
ALG icon
1077
Alamo Group
ALG
$2.51B
$1.56M ﹤0.01%
13,400
MODV
1078
DELISTED
ModivCare
MODV
$1.56M ﹤0.01%
18,412
UPWK icon
1079
Upwork
UPWK
$2.08B
$1.53M ﹤0.01%
74,030
-182,600
-71% -$3.78M
NVRO
1080
DELISTED
NEVRO CORP.
NVRO
$1.53M ﹤0.01%
34,940
-7,112
-17% -$312K
KAHC.U
1081
DELISTED
KKR Acquisition Holdings I Corp. Units, each consisting of one share of Class A Common Stock and one-fourth of one redeemable warrant
KAHC.U
$1.51M ﹤0.01%
153,190
CSW
1082
CSW Industrials, Inc.
CSW
$4.28B
$1.51M ﹤0.01%
14,660
+200
+1% +$20.6K
EPR icon
1083
EPR Properties
EPR
$4.23B
$1.51M ﹤0.01%
32,184
+16,701
+108% +$784K
KYMR icon
1084
Kymera Therapeutics
KYMR
$3.09B
$1.51M ﹤0.01%
76,676
-6,786
-8% -$134K
WBS icon
1085
Webster Financial
WBS
$10.3B
$1.51M ﹤0.01%
35,815
-25,613
-42% -$1.08M
HAYN
1086
DELISTED
Haynes International, Inc.
HAYN
$1.5M ﹤0.01%
45,830
+4,766
+12% +$156K
HNGR
1087
DELISTED
Hanger Inc.
HNGR
$1.5M ﹤0.01%
104,756
-22,792
-18% -$326K
BTI icon
1088
British American Tobacco
BTI
$123B
$1.49M ﹤0.01%
34,820
-1,606
-4% -$68.9K
IOVA icon
1089
Iovance Biotherapeutics
IOVA
$832M
$1.49M ﹤0.01%
135,256
-25,712
-16% -$284K
AAL icon
1090
American Airlines Group
AAL
$8.61B
$1.49M ﹤0.01%
117,274
-1,100
-0.9% -$13.9K
EXK
1091
Endeavour Silver
EXK
$1.71B
$1.48M ﹤0.01%
473,318
-13,162
-3% -$41.2K
CRON
1092
Cronos Group
CRON
$976M
$1.48M ﹤0.01%
530,084
-31,027
-6% -$86.6K
PNW icon
1093
Pinnacle West Capital
PNW
$10.5B
$1.48M ﹤0.01%
20,221
-800
-4% -$58.5K
WYNN icon
1094
Wynn Resorts
WYNN
$12.7B
$1.47M ﹤0.01%
25,772
-1,082
-4% -$61.6K
ISEE
1095
DELISTED
IVERIC bio, Inc. Common Stock
ISEE
$1.46M ﹤0.01%
151,855
-53,725
-26% -$517K
HCNE
1096
DELISTED
Jaws Hurricane Acquisition Corp. Class A Common Stock
HCNE
$1.46M ﹤0.01%
150,000
ALLO icon
1097
Allogene Therapeutics
ALLO
$253M
$1.46M ﹤0.01%
127,973
+5,600
+5% +$63.8K
FBMS
1098
DELISTED
The First Bancshares, Inc.
FBMS
$1.44M ﹤0.01%
50,502
GPI icon
1099
Group 1 Automotive
GPI
$6.12B
$1.44M ﹤0.01%
8,459
-8,273
-49% -$1.4M
AGIO icon
1100
Agios Pharmaceuticals
AGIO
$2.06B
$1.43M ﹤0.01%
64,699
-5,956
-8% -$132K