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Size ($ in 1000's)
At 12/31/2025: $31,534,874 At 09/30/2025: $30,935,102
Combined Holding Report Includes:
Fiera Capital Corp Russell Investments Group Ltd. Fiera Capital Inc. Fiera Capital UK Ltd
Fiera Capital Corp AUM history
Fiera Capital Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Fiera Capital Corp 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2025, below is a summary of the Fiera Capital Corp top holdings by largest position size, as per the latest 13f filing made by Fiera Capital Corp.
In the Fiera Capital Corp-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Fiera Capital Corp in that top holding, then the share count change between reporting periods, and finally the Fiera Capital Corp top holding position size
for that row.
| Entity | Amount | Change
09/30/2025 to 12/31/2025 |
Position Size
($ in 1000's) |
ALPHABET INC |
6,099,373 |
-1,033,912 |
$1,909,104 | | GOOGL | 6,099,373 | -1,033,912 | $1,909,104 | TAIWAN SEMICONDUCTOR MFG LTD |
6,023,398 |
-807,720 |
$1,830,450 | | TSM | 6,023,398 | -807,720 | $1,830,450 | MICROSOFT CORP |
3,249,696 |
-135,465 |
$1,571,618 | | MSFT | 3,249,696 | -135,465 | $1,571,618 | MOODYS CORP |
2,371,939 |
-113,197 |
$1,211,705 | | MCO | 2,371,939 | -113,197 | $1,211,705 | MASTERCARD INCORPORATED |
1,690,498 |
-48,140 |
$965,071 | | MA | 1,690,498 | -48,140 | $965,071 | AUTOZONE INC |
270,643 |
-18,132 |
$917,886 | | AZO | 270,643 | -18,132 | $917,886 | ROYAL BK CDA |
4,539,315 |
-315,109 |
$774,109 | | RY | 4,539,315 | -315,109 | $774,109 | TJX COS INC NEW |
4,923,471 |
-320,891 |
$756,294 | | TJX | 4,923,471 | -320,891 | $756,294 | CME GROUP INC |
2,635,814 |
-108,292 |
$719,788 | | CME | 2,635,814 | -108,292 | $719,788 | CANADIAN NATL RY CO |
6,648,582 |
+176,872 |
$657,784 | | CNI | 6,648,582 | +176,872 | $657,784 | SHERWIN WILLIAMS CO |
1,770,803 |
+6,789 |
$573,793 | | SHW | 1,770,803 | +6,789 | $573,793 | MSCI INC |
962,626 |
-30,811 |
$552,287 | | MSCI | 962,626 | -30,811 | $552,287 | BANK MONTREAL QUE |
3,981,598 |
+14,378 |
$517,251 | | BMO | 3,981,598 | +14,378 | $517,251 | JOHNSON & JOHNSON |
2,458,245 |
-187,171 |
$508,734 | | JNJ | 2,458,245 | -187,171 | $508,734 | ORACLE CORP |
2,566,745 |
-1,318,159 |
$500,284 | | ORCL | 2,566,745 | -1,318,159 | $500,284 | CGI INC |
5,394,446 |
+120,320 |
$498,439 | | GIB | 5,394,446 | +120,320 | $498,439 | WASTE CONNECTIONS INC |
2,764,876 |
+70,396 |
$485,067 | | WCN | 2,764,876 | +70,396 | $485,067 | INVESCO QQQ TR |
765,258 |
+6,683 |
$470,106 | | QQQ | 765,258 | +6,683 | $470,106 | RESTAURANT BRANDS INTL INC |
6,835,522 |
+1,889,359 |
$466,595 | | QSR | 6,835,522 | +1,889,359 | $466,595 | CANADIAN PACIFIC KANSAS CITY |
6,213,733 |
+349,688 |
$457,618 | | CP | 6,213,733 | +349,688 | $457,618 | OTIS WORLDWIDE CORP |
5,020,052 |
-124,171 |
$438,502 | | OTIS | 5,020,052 | -124,171 | $438,502 | METTLER TOLEDO INTERNATIONAL |
310,000 |
-23,886 |
$432,199 | | MTD | 310,000 | -23,886 | $432,199 | RB GLOBAL INC |
4,157,985 |
+90,982 |
$428,223 | | RBA | 4,157,985 | +90,982 | $428,223 | PEPSICO INC |
2,741,056 |
-264,736 |
$393,396 | | PEP | 2,741,056 | -264,736 | $393,396 | CARRIER GLOBAL CORPORATION |
6,923,485 |
+348,812 |
$365,837 | | CARR | 6,923,485 | +348,812 | $365,837 | COPART INC |
8,829,434 |
+52,036 |
$345,672 | | CPRT | 8,829,434 | +52,036 | $345,672 | GRACO INC |
4,115,821 |
-233,561 |
$337,374 | | GGG | 4,115,821 | -233,561 | $337,374 | S&P GLOBAL INC |
644,019 |
-101,727 |
$336,558 | | SPGI | 644,019 | -101,727 | $336,558 | HDFC BANK LTD |
8,514,965 |
-706,391 |
$311,137 | | HDB | 8,514,965 | -706,391 | $311,137 | VANGUARD INDEX FDS (VOO) |
481,937 |
-9,484 |
$302,237 | | VOO | 481,937 | -9,484 | $302,237 | UNITEDHEALTH GROUP INC |
899,791 |
+76,707 |
$297,030 | | UNH | 899,791 | +76,707 | $297,030 | ROGERS COMMUNICATIONS INC |
7,196,876 |
+7,116,744 |
$271,751 | | RCI | 7,196,876 | +7,116,744 | $271,751 | AMAZON COM INC |
1,155,543 |
+544,994 |
$266,722 | | AMZN | 1,155,543 | +544,994 | $266,722 | THOMSON REUTERS CORP |
1,797,209 |
-480,658 |
$237,248 | | TRI | 1,797,209 | -480,658 | $237,248 | TELUS CORPORATION |
17,365,666 |
-502,130 |
$228,952 | | TU | 17,365,666 | -502,130 | $228,952 | ARGENX SE |
225,971 |
+48,317 |
$190,030 | | ARGX | 225,971 | +48,317 | $190,030 | AON PLC |
533,582 |
-15,752 |
$188,290 | | AON | 533,582 | -15,752 | $188,290 | STANTEC INC |
1,980,900 |
-488,645 |
$186,988 | | STN | 1,980,900 | -488,645 | $186,988 | LINDE PLC |
419,119 |
+61,056 |
$178,708 | | LIN | 419,119 | +61,056 | $178,708 | VISA INC |
501,682 |
-68,024 |
$175,945 | | V | 501,682 | -68,024 | $175,945 | INSMED INC |
992,892 |
+183,771 |
$172,803 | | INSM | 992,892 | +183,771 | $172,803 | ANALOG DEVICES INC |
605,284 |
-25,920 |
$164,153 | | ADI | 605,284 | -25,920 | $164,153 | HILTON WORLDWIDE HLDGS INC |
567,953 |
-14,341 |
$163,144 | | HLT | 567,953 | -14,341 | $163,144 | ALCON AG |
2,028,121 |
-79,718 |
$159,836 | | ALC | 2,028,121 | -79,718 | $159,836 | LOWES COS INC |
661,526 |
-23,066 |
$159,534 | | LOW | 661,526 | -23,066 | $159,534 | APPLE INC |
546,699 |
+171,064 |
$148,626 | | AAPL | 546,699 | +171,064 | $148,626 | JFROG LTD |
2,253,450 |
+614,383 |
$140,750 | | FROG | 2,253,450 | +614,383 | $140,750 | AMPHENOL CORP NEW |
932,758 |
-84,322 |
$126,053 | | APH | 932,758 | -84,322 | $126,053 | BWX TECHNOLOGIES INC |
723,156 |
+178,522 |
$124,990 | | BWXT | 723,156 | +178,522 | $124,990 | DESCARTES SYS GROUP INC |
1,371,213 |
-1,604,880 |
$120,332 | | DSGX | 1,371,213 | -1,604,880 | $120,332 |
See Full List: All Stocks Held By Fiera Capital Corp
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Fiera Capital Corp
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