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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
98
29
18
4
10
1
52
17
29
TDAM USA INC

Time Period2018-12-31

Total Holdings309

Total Value ($x1000)1,379,189
Activities
New9

Increased67

Unchanged29

Decreased204

Sold Out27

Top 10 Stock Holdingstotal 23.87%
MSFT4.23

AAPL3.39

BRK.A3.37

BA2.5

XOM2.01

 
PFE1.74

DWDP1.72

UNH1.68

KO1.64

MCD1.59

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
MSFT
4.23%
COM
AAPL
3.39%
COM
BRK.A
3.37%
CL A
BA
2.5%
COM
XOM
2.01%
COM
PFE
1.74%
COM
DWDP
1.72%
COM
UNH
1.68%
COM
KO
1.64%
COM
MCD
1.59%
COM
ABBV
1.59%
COM
PG
1.56%
COM
JNJ
1.49%
COM
VZ
1.43%
COM
WEC
1.43%
COM
HD
1.31%
COM
OXY
1.3%
COM
GOOG
1.26%
CAP STK CL C
CSCO
1.26%
COM
DUK
1.25%
COM NEW
V
1.22%
COM CL A
EMR
1.21%
COM
MET
1.18%
COM
MRK
1.13%
COM
UTX
1.11%
COM
T
1.08%
COM
CME
1.05%
COM
BLK
1.04%
COM
BAC
1.03%
COM
TXN
0.95%
COM
DHR
0.95%
COM
USB
0.95%
COM NEW
ETN
0.93%
SHS
HCN
0.91%
COM
ES
0.88%
COM
MO
0.85%
COM
MMM
0.82%
COM
FE
0.8%
COM
D
0.8%
COM
UPS
0.78%
CL B
JPM
0.77%
COM
LMT
0.73%
COM
AMAT
0.72%
COM
PM
0.72%
COM
CNC
0.71%
COM
TJX
0.7%
COM
AEE
0.69%
COM
DG
0.68%
COM
ABT
0.64%
COM
COST
0.64%
COM
MS
0.61%
COM NEW
PEP
0.61%
COM
PTC
0.61%
COM
IR
0.61%
SHS
CMS
0.6%
COM
INTC
0.59%
COM
TD
0.58%
COM NEW
UHS
0.54%
CL B
MRVL
0.53%
ORD
CVX
0.52%
COM
AVGO
0.51%
COM
BSX
0.5%
COM
LVS
0.5%
COM
ADP
0.5%
COM
AGN
0.47%
SHS
KHC
0.46%
COM
MLM
0.46%
COM
MXIM
0.46%
COM
NSC
0.45%
COM
CVS
0.45%
COM
CB
0.45%
COM
MTB
0.44%
COM
DIS
0.44%
COM DISNEY
OLED
0.44%
COM
WFC
0.44%
COM
LEG
0.41%
COM
ITW
0.39%
COM
CL
0.39%
COM
AIG
0.38%
COM NEW
IBM
0.37%
COM
APC
0.37%
COM
AMP
0.36%
COM
SBUX
0.36%
COM
UNP
0.36%
COM
BRK.B
0.36%
CL B NEW
RTN
0.35%
COM NEW
ECL
0.35%
COM
COF
0.34%
COM
CFG
0.34%
COM
ORCL
0.34%
COM
EMN
0.33%
COM
DFS
0.32%
COM
EQH
0.3%
COM
KMB
0.29%
COM
LIN
0.29%
COM
RSG
0.29%
COM
BTI
0.29%
SPONSORED ADR
OZK
0.28%
COM
BDX
0.28%
COM
NEE
0.27%
COM
JEC
0.26%
COM
BMY
0.26%
COM
CMCSA
0.25%
CL A
GOOGL
0.24%
CAP STK CL A
WMT
0.24%
COM
FBHS
0.24%
COM
SO
0.21%
COM
CHKP
0.19%
ORD
BKNG
0.19%
COM
RDS/A
0.18%
SPONS ADR A
SYK
0.18%
COM
CSJ
0.18%
1-3 YR CR BD ETF
GE
0.17%
COM
MDT
0.17%
SHS
AMGN
0.17%
COM
WBA
0.16%
COM
QCOM
0.15%
COM
HON
0.15%
COM
NKE
0.14%
CL B
SYY
0.14%
COM
ZMH
0.14%
COM
STT
0.14%
COM
SHW
0.14%
COM
ADBE
0.13%
COM
PPL
0.13%
COM
DE
0.13%
COM
IFF
0.13%
COM
PNC
0.12%
COM
TTC
0.12%
COM
WM
0.12%
COM
SLB
0.12%
COM
AXP
0.12%
COM
AMZN
0.12%
COM
JCI
0.11%
SHS
EGBN
0.11%
COM
LOGM
0.11%
COM
GILD
0.11%
COM
EHC
0.1%
COM
CHD
0.1%
COM
ETR
0.1%
COM
ARW
0.1%
COM
XPO
0.1%
COM
LLY
0.1%
COM
LGIH
0.1%
COM
JLL
0.1%
COM
YUM
0.1%
COM
CIU
0.09%
INTERM CR BD ETF
FIS
0.09%
COM
CASY
0.09%
COM
PNW
0.09%
COM
TMO
0.09%
COM
MMC
0.09%
COM
OMC
0.09%
COM
STMP
0.09%
COM NEW
TGT
0.09%
COM
AJG
0.09%
COM
CRL
0.09%
COM
AFL
0.09%
COM
DORM
0.09%
COM
MPC
0.09%
COM
TECH
0.09%
COM
AX
0.09%
COM
ADI
0.09%
COM
BMS
0.09%
COM
HXL
0.09%
COM
LCII
0.09%
COM
VVV
0.09%
COM
TCBI
0.08%
COM
GIS
0.08%
COM
MIDD
0.08%
COM
BRKR
0.08%
COM
PAYX
0.08%
COM
CRI
0.08%
COM
BGS
0.08%
COM
MMS
0.07%
COM
BERY
0.07%
COM
BK
0.07%
COM
FNF
0.07%
COM
WSO
0.07%
COM
COHR
0.07%
COM
UHAL
0.07%
COM
LNT
0.07%
COM
RIG
0.07%
REG SHS
FB
0.07%
CL A
CELG
0.07%
COM
IRM
0.07%
COM
UVE
0.06%
COM
CLX
0.06%
COM
MKC
0.06%
COM NON VTG
STX
0.06%
SHS
RS
0.06%
COM
CAT
0.06%
COM
PETS
0.06%
COM
SYF
0.06%
COM
WWD
0.06%
COM
SCI
0.06%
COM
COP
0.06%
COM
RHP
0.06%
COM
BCE
0.06%
COM NEW
TKR
0.06%
COM
KAR
0.06%
COM
ADSK
0.06%
COM
GWR
0.06%
CL A
FDX
0.05%
COM
LOW
0.05%
COM
HBI
0.05%
COM
STAY
0.05%
UNIT 99/99/9999B
KMX
0.05%
COM
EPD
0.05%
COM
FUN
0.05%
DEPOSITRY UNIT
MMP
0.05%
COM UNIT RP LP
NVO
0.05%
ADR
DEO
0.05%
SPON ADR NEW
PBCT
0.05%
COM
FTV
0.05%
COM
BBT
0.05%
COM
GPC
0.05%
COM
MKL
0.05%
COM
JJSF
0.05%
COM
CCE
0.05%
SHS
CACC
0.04%
COM
GEO
0.04%
COM
TRV
0.04%
COM
DGX
0.04%
COM
NTR
0.04%
COM
FDS
0.04%
COM
C
0.04%
COM NEW
PSX
0.04%
COM
NTAP
0.04%
COM
AEP
0.04%
COM
KMI
0.04%
COM
APAM
0.04%
CL A
POOL
0.04%
COM
WAL
0.04%
COM
APY
0.04%
COM
UGI
0.04%
COM
AME
0.04%
COM
DHIL
0.04%
COM NEW
UVSP
0.04%
COM
HHC
0.03%
COM
ADM
0.03%
COM
MTN
0.03%
COM
MKSI
0.03%
COM
OKE
0.03%
COM
EVRG
0.03%
COM
MCHP
0.03%
COM
WWW
0.03%
COM
GS
0.03%
COM
BKH
0.03%
COM
GD
0.03%
COM
NI
0.03%
COM
PSA
0.03%
COM
ENB
0.03%
COM
MCO
0.03%
COM
HPQ
0.03%
COM
MDLZ
0.03%
CL A
RNR
0.03%
COM
EOG
0.03%
COM
ABB
0.03%
SPONSORED ADR
ALL
0.03%
COM
CTSH
0.03%
CL A
FWONK
0.03%
COM C MEDIA GRP
SCG
0.02%
COM
SUM
0.02%
CL A
UBNK
0.02%
COM
TAP
0.02%
CL B
MSI
0.02%
COM NEW
CBM
0.02%
COM
AMT
0.02%
COM
LYB
0.02%
SHS - A -
BIO
0.02%
CL A
CHT
0.02%
SPON ADR NEW11
APA
0.02%
COM
NVS
0.02%
SPONSORED ADR
EW
0.02%
COM
L
0.02%
COM
CWST
0.02%
CL A
CPB
0.02%
COM
VOD
0.02%
SPNSR ADR NO PAR
K
0.02%
COM
FFIV
0.02%
COM
BIIB
0.02%
COM
SLF
0.02%
COM
BAX
0.02%
COM
CSX
0.02%
COM
EAT
0.02%
COM
FISV
0.02%
COM
EXPD
0.02%
COM
RE
0.02%
COM
SPY
0.02%
TR UNIT
NUE
0.02%
COM
STNG
0.02%
SHS
CTL
0.02%
COM
HPE
0.02%
COM
TROW
0.02%
COM
STZ
0.02%
CL A
NVDA
0.02%
COM
A
0.02%
COM
EFA
0.02%
MSCI EAFE ETF
VLO
0.02%
COM
DTE
0.02%
COM
XEL
0.02%
COM
BMO
0.02%
COM
FAST
0.02%
COM
ACGL
0.02%
ORD
DLX
0.02%
COM
NOC
0.01%
COM
SJM
0.01%
COM NEW
MRO
0.01%
COM
ESRX
0.17%
COM
SABR
0.14%
COM
BOH
0.09%
COM
PX
0.05%
COM
AKAM
0.05%
COM
FDC
0.04%
CL A
XRAY
0.04%
COM
HCSG
0.03%
COM
COL
0.02%
COM
OIS
0.02%
COM
CAG
0.02%
COM
MHK
0.02%
COM
BP
0.02%
SPONSORED ADR
CAE
0.02%
COM
PVH
0.02%
COM
IPHI
0.02%
COM
LUV
0.01%
COM
CMP
0.01%
COM
MCK
0.01%
COM
EXC
0.01%
COM
AET
0.01%
COM
CTAS
0.01%
COM
AAP
0.01%
COM
CI
0.01%
COM
CY
0.01%
COM
PSEC
0.01%
COM
NYCB
0.01%
COM