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Holdings

Look it up from the other end.

199 companies held by the 22 funds covered here. 62 of them appear in more than one — which is where overlap comes from, and it is invisible from the fund names.

199 companies

Symbol Funds Held by Top weight
MSFT 4 QMAX, HTA, HBF, SMAX 7.6%
AAPL 4 QMAX, SMAX, HTA, HBF 7.1%
GOOGL 4 QMAX, HTA, HBF, SMAX 6.6%
AVGO 4 QMAX, HBF, HTA, SMAX 6.5%
NVDA 4 QMAX, HBF, HTA, SMAX 6.4%
AMD 3 QMAX, SMAX, HTA 8.2%
BCE 3 UMAX, HUTL, HLIF 7.9%
TRP 3 UMAX, HUTL, HLIF 7.8%
ENB 3 UMAX, HUTL, HLIF 7.8%
EMA 3 UMAX, HUTL, HLIF 7.8%
RCI-B 3 UMAX, HUTL, HLIF 7.8%
PPL 3 UMAX, HUTL, HLIF 7.6%
MU 3 QMAX, SMAX, HTA 7.3%
AMZN 3 QMAX, HBF, SMAX 7.0%
JPM 3 HUBL, HBF, SMAX 6.6%
META 3 QMAX, HTA, SMAX 6.2%
UNH 3 LMAX, HHL, HBF 5.9%
LLY 3 LMAX, HHL, SMAX 5.8%
JNJ 3 LMAX, HHL, SMAX 5.3%
CSCO 3 SMAX, HTA, HBF 5.1%
CAT 3 HBF, HIND, SMAX 5.0%
RY 2 HMAX, HLIF 25.0%
TD 2 HMAX, HLIF 17.0%
BMO 2 HMAX, HLIF 10.8%
CM 2 HMAX, HLIF 9.2%
BNS 2 HMAX, HLIF 9.2%
FTS 2 UMAX, HLIF 7.8%
AMAT 2 QMAX, HTA 7.8%
CP 2 UMAX, HIND 7.7%
T 2 UMAX, HUTL 7.5%
LRCX 2 QMAX, HTA 7.0%
MFC 2 HMAX, HLIF 6.4%
PLTR 2 QMAX, SMAX 6.4%
WFC 2 HUBL, HBF 6.2%
KEY 2 HUBL, HLIF 6.1%
ABBV 2 LMAX, HHL 5.9%
NFLX 2 QMAX, SMAX 5.9%
MS 2 HUBL, HBF 5.9%
TMO 2 LMAX, HHL 5.8%
BMY 2 LMAX, HHL 5.5%
NA 2 HMAX, HLIF 5.4%
ORCL 2 HTA, HBF 5.4%
AMGN 2 LMAX, HHL 5.3%
MRK 2 LMAX, HHL 5.3%
SU 2 EMAX, HLIF 5.3%
PLD 2 RMAX, SMAX 5.2%
CNQ 2 EMAX, HLIF 5.2%
ABT 2 LMAX, HHL 5.1%
VRTX 2 LMAX, HHL 5.1%
BSX 2 HHL, LMAX 5.1%
GWO 2 HMAX, HLIF 5.1%
DHR 2 LMAX, HHL 4.9%
MDT 2 HHL, LMAX 4.9%
ISRG 2 HHL, LMAX 4.9%
XOM 2 EMAX, SMAX 4.9%
GE 2 HIND, SMAX 4.9%
TSLA 2 QMAX, SMAX 4.8%
V 2 HBF, SMAX 4.8%
SYK 2 LMAX, HHL 4.7%
WMT 2 HBF, SMAX 4.7%
VZ 2 HBF, HUTL 4.7%
SLF 2 HMAX, HLIF 3.9%
BN 1 HMAX 8.9%
BIP-U 1 UMAX 8.4%
CNR 1 UMAX 8.0%
H 1 UMAX 7.8%
WCN 1 UMAX 7.8%
HMY 1 AMAX 7.1%
INTC 1 QMAX 6.9%
AEM 1 AMAX 6.9%
FNV 1 AMAX 6.9%
CDE 1 AMAX 6.9%
RGLD 1 AMAX 6.9%
AU 1 AMAX 6.8%
WPM 1 AMAX 6.8%
B 1 AMAX 6.8%
NEM 1 AMAX 6.8%
GFI 1 AMAX 6.7%
EDV 1 AMAX 6.7%
KGC 1 AMAX 6.6%
PAAS 1 AMAX 6.6%
MPC 1 EMAX 6.4%
HL 1 AMAX 6.4%
AGI 1 AMAX 6.4%
BAC 1 HUBL 6.4%
BNY 1 HUBL 6.4%
CFG 1 HUBL 6.4%
MTB 1 HUBL 6.4%
USB 1 HUBL 6.4%
PNC 1 HUBL 6.3%
TFC 1 HUBL 6.3%
VLO 1 EMAX 6.2%
RF 1 HUBL 6.2%
FITB 1 HUBL 6.1%
PSX 1 EMAX 6.0%
HBAN 1 HUBL 6.0%
CVS 1 LMAX 5.9%
GS 1 HUBL 5.8%
C 1 HUBL 5.7%
LMT 1 HIND 5.7%
SPG 1 RMAX 5.6%
NOW 1 HTA 5.6%
PSA 1 RMAX 5.4%
CBRE 1 RMAX 5.4%
CVE 1 EMAX 5.4%
FANG 1 EMAX 5.4%
EOG 1 EMAX 5.4%
UNP 1 HIND 5.4%
WELL 1 RMAX 5.3%
DIR-U 1 RMAX 5.3%
VTR 1 RMAX 5.3%
REGN 1 HHL 5.3%
INTU 1 HTA 5.3%
GD 1 HIND 5.3%
IMO 1 EMAX 5.2%
MSI 1 HTA 5.2%
AME 1 HIND 5.2%
ETN 1 HIND 5.2%
FAST 1 HIND 5.2%
PH 1 HIND 5.2%
RTX 1 HIND 5.2%
GRT-U 1 RMAX 5.1%
HR-U 1 RMAX 5.1%
REI-U 1 RMAX 5.1%
SRU-U 1 RMAX 5.1%
APH 1 HTA 5.1%
ANET 1 HTA 5.1%
CI 1 LMAX 5.0%
DLR 1 RMAX 5.0%
ELV 1 HHL 5.0%
PANW 1 HTA 5.0%
SHEL 1 HBF 5.0%
RSG 1 HIND 5.0%
UPS 1 HIND 5.0%
URI 1 HIND 5.0%
O 1 RMAX 4.9%
FCR-U 1 RMAX 4.9%
BKR 1 EMAX 4.9%
COP 1 EMAX 4.9%
CVX 1 EMAX 4.9%
OXY 1 EMAX 4.9%
A 1 HHL 4.9%
AZN 1 HHL 4.9%
NVS 1 HHL 4.9%
DE 1 HIND 4.9%
DAL 1 HIND 4.9%
BEI-U 1 RMAX 4.8%
CHP-U 1 RMAX 4.8%
EQIX 1 RMAX 4.8%
TPL 1 EMAX 4.8%
STX 1 HTA 4.8%
TXN 1 HTA 4.8%
MCD 1 HBF 4.8%
PG 1 HBF 4.8%
TXT 1 HIND 4.8%
CAR-U 1 RMAX 4.7%
SLB 1 EMAX 4.7%
DVN 1 EMAX 4.7%
KO 1 HBF 4.7%
UBER 1 HIND 4.7%
MCK 1 LMAX 4.6%
GILD 1 LMAX 4.6%
AMT 1 RMAX 4.6%
AP-U 1 RMAX 4.6%
GEV 1 HIND 4.6%
PFE 1 LMAX 4.5%
EXE 1 EMAX 4.5%
EQT 1 EMAX 4.3%
HAL 1 EMAX 4.2%
VRT 1 HIND 4.1%
TRI 1 HLIF 4.1%
BRK-B 1 SMAX 3.9%
FE 1 HUTL 3.7%
LIN 1 SMAX 3.6%
D 1 HUTL 3.6%
ES 1 HUTL 3.6%
EXC 1 HUTL 3.6%
IGM 1 HLIF 3.6%
NEE 1 SMAX 3.5%
EIX 1 HUTL 3.5%
PNW 1 HUTL 3.5%
NTR 1 HLIF 3.5%
POW 1 HLIF 3.5%
CMCSA 1 HUTL 3.4%
UU/ 1 HUTL 3.4%
VOD 1 HUTL 3.4%
BAM 1 HLIF 3.4%
CU 1 HLIF 3.4%
KMI 1 HUTL 3.3%
NTGY 1 HUTL 3.3%
OKE 1 HUTL 3.3%
SVT 1 HUTL 3.3%
MG 1 HLIF 3.3%
QSR 1 HLIF 3.3%
TOU 1 HLIF 3.3%
VIE 1 HUTL 3.2%
NG/ 1 HUTL 3.1%
FORTUM 1 HUTL 3.0%
ABX 1 HLIF 3.0%

As published by the fund providers, as at 2026-08-10. Holdings that are themselves funds are not listed here — a fund of funds is a different relationship, shown on the comparison pages.

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