Vancity Investment Management Ltd - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 19, 2026, for the 2025 Q4 period, Vancity Investment Management Ltd held in its portfolio 87 assets valued at $735,196 (i.e. $735.20K).

The most valuable assets in the portfolio included: MICROSOFT CORP ($78.44K), ALPHABET INC-CL C ($48.54K), and VISA INC-CLASS A SHARES ($45.44K).

The chart below shows the top 10 valuable assets, and the table below shows the top 87 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Vancity Investment Management Ltd Portfolio
MICROSOFT CORP
ALPHABET INC-CL C
VISA INC-CLASS A SHARES
AMAZON.COM INC
S&P GLOBAL INC
APPLE INC
NVIDIA CORP
MOODY'S CORP
SERVICENOW INC
COPART INC
Vancity Investment Management Ltd - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
MICROSOFT CORP 162202 78444 COM
ALPHABET INC-CL C 154674 48537 COM
VISA INC-CLASS A SHARES 129562 45438 COM CL A
AMAZON.COM INC 170335 39316 COM
S&P GLOBAL INC 71396 37310 COM
APPLE INC 134990 36698 COM
NVIDIA CORP 165602 30884 COM
MOODY'S CORP 56035 28625 COM
SERVICENOW INC 184687 28292 COM
COPART INC 617849 24188 COM
AUTOZONE INC 6987 23696 COM
DANAHER CORP 102773 23526 COM
ALPHABET INC-CL A 71980 22529 CAP STK CL A
BROWN & BROWN INC 275696 21972 COM
INTERCONTINENTAL EXCHANGE IN 134839 21838 COM
MERCADOLIBRE INC 9067 18263 COM
COSTCO WHOLESALE CORP 19051 16428 COM
TEXAS INSTRUMENTS INC 93546 16229 COM
TRANE TECHNOLOGIES PLC 39297 15294 SHS
MARSH & MCLENNAN COS 81766 15169 COM
NASDAQ INC 138295 13432 COM
ELEVANCE HEALTH INC 38269 13415 COM
LINDE PLC 28319 12074 SHS
FERGUSON ENTERPRISES INC 52430 11672 SHS
CDW CORP/DE 75575 10293 COM
EDWARDS LIFESCIENCES CORP 111662 9519 COM
MASTERCARD INC - A 15450 8820 CL A
CME GROUP INC 27949 7632 SHS
SEA LTD-ADR 58774 7497 SPONSORD ADS
LAMAR ADVERTISING CO-A 56589 7163 CL A
AMERICAN TOWER CORP 35838 6292 COM
MSCI INC 7674 4402 COM
WATTS WATER TECHNOLOGIES-A 4360 1203 CL A
TETRA TECH INC 35603 1194 COM
FIVE BELOW 6322 1190 COM
WORKIVA INC 12408 1070 COM CL A
WASTE MANAGEMENT INC 4639 1019 COM
TOPBUILD CORP 2436 1016 COM
KINSALE CAPITAL GROUP INC 2423 947 COM
GUIDEWIRE SOFTWARE INC 4694 943 COM
DARLING INGREDIENTS INC 24820 893 COM
SITEONE LANDSCAPE SUPPLY INC 6890 858 COM
SIMPSON MANUFACTURING CO INC 5263 849 COM
LINCOLN ELECTRIC HOLDINGS 3389 812 COM
GLOBANT SA 12082 789 COM
XPEL INC 15750 786 COM
AAON INC 10168 775 COM PAR $0.004
NATIONAL STORAGE AFFILIATES 26586 750 COM SHS BEN IN
API GROUP CORP 19029 728 COM STK
FEDERAL SIGNAL CORP 6511 707 COM
FIRST WATCH RESTAURANT GROUP 44118 665 COM
HOME DEPOT INC 1933 665 COM
DEERE & CO 1428 665 COM
NOVA LTD 1902 625 COM
GROCERY OUTLET HOLDING CORP 61007 616 COM
MCDONALD'S CORP 1985 607 COM
KADANT INC 2046 583 COM
ECOLAB INC 2206 579 COM
INSULET CORP 1908 542 COM
ILLINOIS TOOL WORKS 2110 520 COM
FLOOR & DECOR HOLDINGS INC-A 7722 470 COM
OTIS WORLDWIDE CORP 5044 441 COM
WINMARK CORP 1022 414 COM
MONOLITHIC POWER SYSTEMS INC 454 411 COM
BANK OF HAWAII CORP 5939 406 COM
XYLEM INC 2737 373 COM
BROADCOM INC 948 328 COM
VERIZON COMMUNICATIONS INC 7665 312 COM
PROCTER & GAMBLE CO/THE 2076 298 COM
THERMO FISHER SCIENTIFIC INC 493 286 COM
NU HOLDINGS LTD/CAYMAN ISL-A 15978 267 ORD SHS CL A
INNODATA INC 5000 255 COM NEW
CENCORA INC 733 248 COM
TJX COMPANIES INC 1605 247 COM
UNILEVER PLC 50 243 SPON ADR NEW
VERISIGN INC 994 241 COM
ACCENTURE PLC-CL A 891 239 SHS CLASS A
COGNIZANT TECH SOLUTIONS-A 2871 238 CL A
ROPER TECHNOLOGIES INC 534 238 COM
AT&T INC 9396 233 COM
STRYKER CORP 651 229 COM
TE CONNECTIVITY PLC 979 223 ORD SHS
REPUBLIC SERVICES INC 1018 216 COM
INTL BUSINESS MACHINES CORP 719 213 COM
ABBVIE INC 919 210 COM
T-MOBILE US INC 1024 208 COM
TESLA INC 459 206 COM