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Holdings

BMO FINANCIAL CORP

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
ROGERS COMMUNICATIONS INC RCICl B11,696,4484,952,901597,221,000290,255,0001.05  Hist 03/31/2013
ELI LILLY & Co LLYCommon4,406,2782,950,450250,233,000178,432,0000.44  Hist 03/31/2013
COMCAST CORP CMCSACommon5,796,2223,345,742243,326,000151,774,0000.43  Hist 03/31/2013
Helmerich & Payne, Inc. HPCommon2,280,9782,169,925138,455,000132,235,0000.24  Hist 03/31/2013
BANK OF AMERICA CORP /DE/ BACCommon12,974,45210,368,976158,029,000127,778,0000.28  Hist 03/31/2013
CANADIAN PACIFIC KANSAS CITY LTD/CN CPCommon3,021,061311,685394,157,000118,831,0000.69  Hist 03/31/2013
VANGUARD INTERNATIONAL EQUITY INDEX FUNDS VWOCommon11,137,1482,819,398477,727,000107,338,0000.84  Hist 03/31/2013
FRANKLIN RESOURCES INC BENCommon779,218685,006117,515,000105,673,0000.21  Hist 03/31/2013
MYLAN INC. MYLCommon4,008,5613,511,989116,069,000102,439,0000.20  Hist 03/31/2013
MANULIFE FINANCIAL CORP MFCCommon35,395,0214,473,505521,015,000100,791,0000.92  Hist 03/31/2013
JOHNSON CONTROLS INC JCICommon2,663,0692,381,63493,392,00084,760,0000.16  Hist 03/31/2013
TYSON FOODS, INC. TSNCommon4,089,1122,784,581101,491,00076,183,0000.18  Hist 03/31/2013
UNION PACIFIC CORP UNPCommon935,000474,836133,154,00075,302,0000.23  Hist 03/31/2013
Gen Digital Inc. SYMCCommon7,376,0241,672,422182,040,00074,698,0000.32  Hist 03/31/2013
BANK OF NOVA SCOTIA BNSCommon29,780,5441,081,4181,735,313,00074,207,0003.06  Hist 03/31/2013
Bausch Health Companies Inc. VRXCOM3,919,879219,156294,068,00072,876,0000.52  Hist 03/31/2013
CANADIAN NATURAL RESOURCES LTD CNQCommon16,844,801577,393541,223,00071,583,0000.95  Hist 03/31/2013
INTERNATIONAL PAPER CO /NEW/ IPCommon1,801,3271,471,31983,905,00070,757,0000.15  Hist 03/31/2013
SSGA FUNDS MANAGEMENT INC XLFPut4,130,7003,727,90075,216,00068,614,0000.13  Hist 03/31/2013
Unum Group UNMCommon2,360,7182,304,33866,691,00065,518,0000.12  Hist 03/31/2013
JPMORGAN CHASE & CO JPMCommon5,691,4601,001,583270,117,00063,907,0000.48  Hist 03/31/2013
ENBRIDGE INC ENBCOM12,145,441551,417565,249,00062,996,0001.00  Hist 03/31/2013
iSHARES TRUST IVES&P 500 VALUE1,071,668795,04579,089,00060,723,0000.14  Hist 03/31/2013
QUALCOMM INC/DE QCOMCommon2,829,519742,822189,406,00060,324,0000.33  Hist 03/31/2013
WELLS FARGO & COMPANY/MN WFCCommon12,663,108656,240468,410,00058,016,0000.83  Hist 03/31/2013
iSHARES TRUST IWDETF840,413680,51068,217,00056,573,0000.12  Hist 03/31/2013
HOME DEPOT, INC. HDCommon1,364,887662,66095,242,00051,808,0000.17  Hist 03/31/2013
ROYAL BANK OF CANADA RYCommon43,068,414843,4742,597,025,00050,862,0004.58  Hist 03/31/2013
EQUINOR ASA STOSPONSORED ADR1,971,6451,968,34048,541,00048,457,0000.09  Hist 03/31/2013
AMERICAN EXPRESS CO AXPCommon1,058,672657,16171,419,00048,340,0000.13  Hist 03/31/2013
CVS HEALTH Corp CVSCommon2,493,980651,048137,144,00048,038,0000.24  Hist 03/31/2013
BED BATH & BEYOND INC BBBYCommon1,256,191627,70680,924,00045,784,0000.14  Hist 03/31/2013
iSHARES TRUST IDVCommon1,466,6421,329,87450,085,00045,480,0000.09  Hist 03/31/2013
AMGEN INC AMGNCommon2,595,72431,733266,087,00045,071,0000.47  Hist 03/31/2013
EXXON MOBIL CORP XOMCommon6,022,281243,244542,668,00042,492,0000.96  Hist 03/31/2013
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