StockScan > Holders > Bank Of Montreal

Bank Of Montreal's Portfolio and 13F Filing

Value: $150.31B
CIK: 0000927971
Phone: 312-461-3722
Address: 1 First Canadian Place, Toronto, A6 (M5X 1A1)
Latest 13F Filing:
Bank Of Montreal's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
61 Cisco Systems, Inc. CSCO $47.06 9,820,690

11,164,463

up arrow 1,343,773

$525,371,718 0.35%
62 Advanced Micro Devices, Inc. AMD $150.06 2,224,555

3,485,642

up arrow 1,261,087

$523,055,439 0.35%
63 Wells Fargo & Company WFC $60.12 8,643,496

8,675,754

up arrow 32,258

$521,542,952 0.35%
64 Amgen Inc. AMGN $313.58 1,329,780

1,647,836

up arrow 318,056

$516,728,413 0.34%
65 General Dynamics Corporation GD $288.47 1,651,795

1,776,114

up arrow 124,319

$512,346,725 0.34%
66 McDonald's Corporation MCD $270.23 1,621,126

1,859,356

up arrow 238,230

$502,453,772 0.33%
67 Pepsico, Inc. PEP $175.74 2,546,693

2,827,866

up arrow 281,173

$496,955,032 0.33%
68 Telus Corporation Ordinary Shar TU $16.37 29,564,843

29,889,563

up arrow 324,720

$489,292,146 0.33%
69 Coca-Cola Company (The) KO $62.05 5,635,357

7,791,447

up arrow 2,156,090

$483,446,041 0.32%
70 Waste Management, Inc. WM $208.11 2,240,210

2,314,454

up arrow 74,244

$481,661,022 0.32%
71 Walt Disney Company (The) DIS $113.64 3,617,156

4,229,431

up arrow 612,275

$480,632,539 0.32%
72 Union Pacific Corporation UNP $240.64 1,540,666

1,993,376

up arrow 452,710

$479,685,004 0.32%
73 Salesforce.com Inc CRM $273.84 1,745,976

1,718,932

up arrow -27,044

$470,703,744 0.31%
74 Cheniere Energy, Inc. LNG $157.33 79,719

2,918,016

up arrow 2,838,297

$459,091,457 0.31%
75 EOG Resources, Inc. EOG $129.94 1,919,724

3,453,669

up arrow 1,533,945

$448,769,750 0.30%
76 Caterpillar, Inc. CAT $337.09 1,460,782

1,293,785

up arrow -166,997

$436,121,986 0.29%
77 Restaurant Brands International QSR $75.31 5,784,582

5,741,773

up arrow -42,809

$432,412,925 0.29%
78 The Descartes Systems Group Inc DSGX $95.43 4,259,422

4,411,066

up arrow 151,644

$420,925,973 0.28%
79 Medtronic plc. Ordinary Shares MDT $81.80 5,100,805

4,955,818

up arrow -144,987

$405,361,133 0.27%
80 Motorola Solutions, Inc. MSI $352.50 1,212,346

1,136,409

up arrow -75,937

$400,584,173 0.27%