Institutions / iA Global Asset Management Inc.

iA Global Asset Management Inc.

CIK 1969566 · Institution · as of Dec 31, 2025
Portfolio value
$7.84M
Positions
396
As of
Dec 31, 2025

Top holdings

Dec 31, 2025View all 396 →
CompanyClassValueShares% of portfolio
NVIDIA Corp$527.1K2,826,2976.7%
Microsoft Corp$490.9K1,014,9706.3%
Apple Inc.$372.8K1,371,2334.8%
Amazon.com Inc$332.7K1,441,5364.2%
Alphabet Inc.$228.8K730,8972.9%
Alphabet Inc.$201.0K640,4992.6%
Meta Platforms Inc$192.5K291,6222.5%
State Street SPDR Bloomberg Short Term High Yield Bond ETF$179.0K7,069,2362.3%
Broadcom Inc.$148.1K427,8401.9%
Mastercard Inc$137.8K241,4191.8%
Thermo Fisher Scientific Inc.$133.0K229,4511.7%
Crh Public Ltd Co$129.5K1,037,4531.7%
Visa Inc$118.2K337,0771.5%
Tesla Inc$116.9K259,8381.5%
iShares iBoxx $ High Yield Corporate Bond ETF$104.8K1,300,1251.3%
Cms Energy Corp$92.5K1,323,1671.2%
Danaher Corp /De$86.8K379,1921.1%
Unitedhealth Group Inc$86.2K261,0601.1%
Linde PLC$80.9K189,6471.0%
iShares Core U.S. Aggregate Bond ETF$80.8K809,3271.0%
General Electric Co$77.1K250,2151.0%
JPMORGAN CHASE & CO$76.3K236,6751.0%
Philip Morris International Inc.$76.1K474,5741.0%
Johnson & Johnson$75.0K362,4461.0%
Union Pacific Corp$71.8K310,4640.9%

Activity

Dec 31, 2025
InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
No quarter-over-quarter changes yet — position changes appear once we've ingested two consecutive 13F filings for this manager. We currently hold 1 quarter of holdings.