Basic Stats
Portfolio Value $ 1,597,427,879
Current Positions 61
Latest Holdings, Performance, AUM (from 13F, 13D)

AWEIX - CIBC Atlas Disciplined Equity Fund Institutional Class Shares has disclosed 61 total holdings in their latest SEC filings. Most recent portfolio value is calculated to be $ 1,597,427,879 USD. Actual Assets Under Management (AUM) is this value plus cash (which is not disclosed). AWEIX - CIBC Atlas Disciplined Equity Fund Institutional Class Shares’s top holdings are Microsoft Corporation (US:MSFT) , Amazon.com, Inc. (US:AMZN) , NVIDIA Corporation (US:NVDA) , Apple Inc. (US:AAPL) , and Visa Inc. (US:V) . AWEIX - CIBC Atlas Disciplined Equity Fund Institutional Class Shares’s new positions include First American Funds Inc - First American Government Obligations Fund Class X (US:FGXXX) , Eaton Corporation plc (US:ETN) , IDEXX Laboratories, Inc. (US:IDXX) , CoStar Group, Inc. (US:CSGP) , and .

Top Increases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
30.52 1.9110 1.4347
0.05 13.42 0.8405 0.8405
0.05 21.09 1.3203 0.6789
0.07 16.56 1.0368 0.6755
0.05 25.51 1.5976 0.5884
0.02 9.04 0.5661 0.5661
0.12 8.65 0.5414 0.5414
0.25 31.54 1.9750 0.4710
0.36 23.85 1.4936 0.4573
0.10 24.18 1.5139 0.4526
Top Decreases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
0.53 97.53 6.1068 -1.1331
0.20 32.03 2.0056 -1.0258
0.35 55.16 3.4540 -0.5358
0.09 37.75 2.3640 -0.4731
0.04 15.37 0.9626 -0.4360
0.12 11.88 0.7438 -0.4189
0.35 19.95 1.2490 -0.4033
0.13 34.93 2.1870 -0.3776
0.12 16.33 1.0228 -0.3622
0.18 23.55 1.4744 -0.3302
13F and Fund Filings

This form was filed on 2025-06-26 for the reporting period 2025-04-30. Click the link icon to see the full transaction history.

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2022-07-28: Important Note - We have changed the treatment of the Δ Portfolio % column in this table. Previously, we were reporting it as the percent change in the portfolio allocation. We are now reporting it as the raw change in the portfolio allocation (still reported as a percent). In formula terms, we were previously reporting it as 100 * (current allocation - prior allocation ) / prior allocation. We are now reporting it as (current allocation - prior allocation).
Security Type Avg Share Price Shares
(MM)
ΔShares
(%)
ΔShares
(%)
Value
($MM)
Portfolio
(%)
ΔPortfolio
(%)
MSFT / Microsoft Corporation 0.32 -2.06 124.91 -6.74 7.8211 0.2813
AMZN / Amazon.com, Inc. 0.53 -2.26 97.53 -24.16 6.1068 -1.1331
NVDA / NVIDIA Corporation 0.77 -2.28 83.59 -11.36 5.2338 -0.0749
AAPL / Apple Inc. 0.39 -1.15 83.40 -10.99 5.2222 -0.0531
V / Visa Inc. 0.18 -1.96 63.07 -0.90 3.9494 0.3664
GOOGL / Alphabet Inc. 0.35 0.00 55.16 -22.16 3.4540 -0.5358
UNH / UnitedHealth Group Incorporated 0.09 -1.22 37.75 -25.08 2.3640 -0.4731
CRM / Salesforce, Inc. 0.13 -2.50 34.93 -23.33 2.1870 -0.3776
GOOG / Alphabet Inc. 0.20 -23.98 32.03 -40.51 2.0056 -1.0258
RTX / RTX Corporation 0.25 20.71 31.54 18.07 1.9750 0.4710
AZN / AstraZeneca PLC - Depositary Receipt (Common Stock) 0.43 -1.22 30.77 0.22 1.9266 0.1981
FGXXX / First American Funds Inc - First American Government Obligations Fund Class X 30.52 260.79 1.9110 1.4347
JPM / JPMorgan Chase & Co. 0.12 -1.22 28.88 -9.60 1.8082 0.0098
ICE / Intercontinental Exchange, Inc. 0.17 -1.22 28.55 3.81 1.7877 0.2394
XOM / Exxon Mobil Corporation 0.26 -1.22 27.01 -2.33 1.6910 0.1343
FI / Fiserv, Inc. 0.14 -2.34 26.09 -16.57 1.6339 -0.1269
MLM / Martin Marietta Materials, Inc. 0.05 47.80 25.51 42.32 1.5976 0.5884
QCOM / QUALCOMM Incorporated 0.17 -1.22 25.44 -15.20 1.5928 -0.0960
TEL / TE Connectivity plc 0.17 -1.22 25.35 -2.28 1.5874 0.1268
META / Meta Platforms, Inc. 0.05 40.19 24.75 11.67 1.5500 0.3021
DHR / Danaher Corporation 0.12 39.77 24.62 25.08 1.5415 0.4334
WDAY / Workday, Inc. 0.10 37.18 24.18 28.25 1.5139 0.4526
NEE / NextEra Energy, Inc. 0.36 38.65 23.85 29.58 1.4936 0.4573
MCD / McDonald's Corporation 0.07 -1.22 23.66 9.37 1.4817 0.2636
BX / Blackstone Inc. 0.18 -1.22 23.55 -26.54 1.4744 -0.3302
LIN / Linde plc 0.05 -2.74 22.94 -1.18 1.4365 0.1294
ADBE / Adobe Inc. 0.06 -1.22 22.04 -15.33 1.3803 -0.0854
UNP / Union Pacific Corporation 0.10 -1.22 21.91 -14.03 1.3718 -0.0629
ELV / Elevance Health, Inc. 0.05 74.13 21.09 85.09 1.3203 0.6789
TJX / The TJX Companies, Inc. 0.16 -1.22 21.04 1.86 1.3176 0.1546
CME / CME Group Inc. 0.07 -1.22 20.69 15.72 1.2957 0.2890
DIS / The Walt Disney Company 0.22 -1.22 20.35 -20.54 1.2743 -0.1675
ROP / Roper Technologies, Inc. 0.04 -2.74 20.35 -5.37 1.2740 0.0635
CSCO / Cisco Systems, Inc. 0.35 -28.66 19.95 -32.04 1.2490 -0.4033
MNST / Monster Beverage Corporation 0.33 -2.74 19.94 20.05 1.2487 0.3135
FIS / Fidelity National Information Services, Inc. 0.23 -1.22 18.13 -4.36 1.1353 0.0680
SPGI / S&P Global Inc. 0.04 -2.74 17.83 -6.73 1.1163 0.0403
LNG / Cheniere Energy, Inc. 0.07 149.66 16.56 157.99 1.0368 0.6755
ABT / Abbott Laboratories 0.12 -35.04 16.33 -33.60 1.0228 -0.3622
PEP / PepsiCo, Inc. 0.12 -2.74 16.14 -12.49 1.0107 -0.0278
PLD / Prologis, Inc. 0.16 -2.74 15.88 -16.65 0.9945 -0.0782
TMO / Thermo Fisher Scientific Inc. 0.04 -5.39 15.72 -32.10 0.9844 -0.3191
BLK / BlackRock, Inc. 0.02 -2.74 15.67 -17.32 0.9809 -0.0858
IQV / IQVIA Holdings Inc. 0.10 -3.73 15.44 -25.86 0.9665 -0.2056
HD / The Home Depot, Inc. 0.04 -29.28 15.37 -38.12 0.9626 -0.4360
SYK / Stryker Corporation 0.04 -2.06 15.32 -6.41 0.9595 0.0377
PNC / The PNC Financial Services Group, Inc. 0.09 -1.22 14.26 -21.01 0.8931 -0.1235
MDLZ / Mondelez International, Inc. 0.20 -1.22 13.95 16.05 0.8737 0.1968
ADI / Analog Devices, Inc. 0.07 -0.73 13.55 -8.68 0.8481 0.0131
ETN / Eaton Corporation plc 0.05 13.42 0.8405 0.8405
ADP / Automatic Data Processing, Inc. 0.04 0.00 12.91 -0.79 0.8085 0.0757
AVGO / Broadcom Inc. 0.07 -2.76 12.54 -15.42 0.7850 -0.0494
CVX / Chevron Corporation 0.09 -2.74 12.41 -11.30 0.7770 -0.0106
OTIS / Otis Worldwide Corporation 0.12 -42.99 11.88 -42.48 0.7438 -0.4189
AMT / American Tower Corporation 0.05 -39.53 11.40 -26.30 0.7136 -0.1570
ORLY / O'Reilly Automotive, Inc. 0.01 0.00 10.72 9.33 0.6715 0.1193
VICI / VICI Properties Inc. 0.33 -0.64 10.51 6.88 0.6578 0.1044
IDXX / IDEXX Laboratories, Inc. 0.02 9.04 0.5661 0.5661
ZTS / Zoetis Inc. 0.06 0.00 8.86 -8.49 0.5550 0.0097
CSGP / CoStar Group, Inc. 0.12 8.65 0.5414 0.5414
TMUS / T-Mobile US, Inc. 0.03 -43.44 8.00 -40.05 0.5008 -0.2503