1A1832 Asset Management L.P.

Institutional investor · Portfolio as of Q3 2025

Top Holdings661 positions

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Activity:
??SPDR S&P 500 ETF TR
PUT
Delisted
100.2M$66.8B52.7%———
New
—

Microsoft Corp

4.6M$2.4B1.9%$206.20+149.14%
28 qtrssince 2018-Q4
Decreased
0

Royal Bank of Canada

15.7M$2.3B1.8%$60.51+140.38%
28 qtrssince 2018-Q4
Decreased
0

Toronto-Dominion Bank/The

22.1M$1.8B1.4%$40.34+93.99%
28 qtrssince 2018-Q4
Decreased
0

Enbridge Inc

29.6M$1.5B1.2%$26.58+87.09%
28 qtrssince 2018-Q4
Decreased
0

NVIDIA Corp

7.7M$1.4B1.1%$99.01+87.99%
28 qtrssince 2018-Q4
Decreased
0

Amazon.com Inc

6M$1.3B1.0%$130.21+68.63%
28 qtrssince 2018-Q4
Decreased
0

Alphabet Inc

4.8M$1.2B0.9%$195.68+23.91%
28 qtrssince 2018-Q4
Increased
64

Bank of Nova Scotia/The

17.9M$1.2B0.9%$38.78+61.86%
28 qtrssince 2018-Q4
Increased
47

Apple Inc

4.4M$1.1B0.9%$212.92+19.15%
28 qtrssince 2018-Q4
Increased
67

Brookfield Asset Management In

16.3M$1.1B0.9%$21.35+112.71%
12 qtrssince 2022-Q4
Decreased
0

Canadian Pacific Railway Ltd

14.3M$1.1B0.8%$78.81-6.09%
10 qtrssince 2023-Q2
Decreased
0

Canadian Natural Resources Ltd

30.9M$988.3M0.8%$12.80+142.67%
28 qtrssince 2018-Q4
Decreased
0

Visa Inc

2.7M$933.2M0.7%$171.37+97.63%
28 qtrssince 2018-Q4
Decreased
0

Canadian National Railway Co

9.5M$891.4M0.7%$79.76+16.22%
28 qtrssince 2018-Q4
Decreased
0

Bank of Montreal

6.3M$825.3M0.7%$78.92+62.56%
28 qtrssince 2018-Q4
Decreased
0

Manulife Financial Corp

25.4M$790.2M0.6%$21.85+38.67%
28 qtrssince 2018-Q4
Increased
45

Suncor Energy Inc

18.5M$775.1M0.6%$22.27+88.49%
28 qtrssince 2018-Q4
Decreased
0

TransCanada Corp

14M$760.2M0.6%$35.87+49.04%
26 qtrssince 2019-Q2
Decreased
0

Waste Connections Inc

4.3M$755.7M0.6%$106.11+64.61%
28 qtrssince 2018-Q4
Increased
48
$126.7B
AUM
661
Positions
Q3 2025
Filing
HI score · 2.0/5
Quarterly 13F Value Change
+1%Q2'24$55.2B+8%Q3'24$59.6B-6%Q4'24$56B-6%Q1'25$52.4B+10%Q2'25$57.4B+3%Q3'25$59.1B
Activity profile
$ moved · Q3'25
New44%Increased5%Decreased5%Exited46%
Composition
Equity vs derivatives
Equity47%Puts53%Calls0%
Holding period
Avg 4.9 years
<1Q4%1-4Q7%1-2Y6%2Y+83%

1832 Asset Management L.P. manages $126.7B across 661 positions as of Q3 2025. Top holdings: SPDR S&P 500 ETF TR puts (52.7%), MSFT (1.9%), RY (1.8%). Fund DNA: Balanced Allocator. HoldingsIntel Score: 2/5.0.

Q3 2025 Summary

Active quarter - 62 new positions, 55 exits, 240 increased. Top move: AAPL (INCREASED, conviction 67). Portfolio: $126.7B across 661 positions.

Top holdings by portfolio weight

Total AUM$59B
MSFT1.87%
RY1.82%
TD1.39%
ENB1.18%
NVDA1.14%
AMZN1.04%
GOOGL0.92%
BNS0.92%
AAPL0.89%
BN0.88%
Other0.84%

Portfolio allocation by GICS sector

Sectors11
Financial Services23.04%
Technology19.37%
Industrials11.29%
Energy9.24%
Consumer Cyclical8.80%
Communication Services6.87%
Basic Materials5.30%
Unknown5.25%
Healthcare4.59%
Real Estate2.38%
Other3.87%

Behavioral investing profile

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Balanced Allocator- primarily Financial Services, Technology, Industrials
Compare DNA across all funds
7-dimension, SEC 13F-derived research score
Below Average(2.0 / 5.0)
Holdings P&L54
Conviction37
Concentration16
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

Similar Funds

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Accumulation Streaks

Positions with 2+ consecutive quarters of increases - persistent directional conviction.

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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

Verify source filings on SEC EDGAR

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