DOSSIER · 13F-HR · Q2 2026

Woodbridge CO LTD

$25.2B in tracked AUM across 48 positions as of Q2 2026.

WC
CIK 0001397960 · last filed Jun 30, 2026
Total AUM
$25.2B
as of Q2 2026
Holdings
48
positions
Whale Score
85
85
top tier
Activity
no data
changes this Q
AI Analysis · Q2 2026

Woodbridge CO LTD filed Q1 2026 13F-HR with $27.8B in disclosed U.S. equity holdings The portfolio is led by Communication Services exposure, with top positions including TRI (97.3%), GOOGL (0.3%), AMZN (0.2%). Quarter-over-quarter activity shows 10 new entries and 14 exits, with a net additive posture across 60 changed positions. Notable new position: COR $$0.0B.

Woodbridge CO LTD reports $27.8B in U.S. equity holdings for Q1 2026, anchored by a Communication Services-centric allocation. The top five positions by value span TRI + GOOGL + AMZN + ENB + BRK/B, collectively representing a meaningful concentration within the disclosed book.

Core Holdings

  • TRI (THOMSON REUTERS CORP) — $27.1B (97.3%)
  • GOOGL (ALPHABET INC) — $0.1B (0.3%)
  • AMZN (AMAZON COM INC) — $0.1B (0.2%)
  • ENB (ENBRIDGE INC) — $0.0B (0.2%)
  • BRK/B (BERKSHIRE HATHAWAY INC DEL) — $0.0B (0.2%)
Analysis generated by 13F Insight from SEC Form 13F filing data · Q2 2026. Methodology

Quarter at a glance — Q2 2026

Position-change comparison pending.

No quarter-over-quarter changes available.

Top 10 holdings

By portfolio weight as of Q2 2026.

#HoldingValueSharesWeight
01
TRI
THOMSON REUTERS CORP
$24.2B296.2M95.8%
02
VOO
VANGUARD INDEX FDS
$167M244K0.7%
03
GOOGL
ALPHABET INC
$109M305K0.4%
04
AMZN
AMAZON COM INC
$64M269K0.3%
05
VXUS
VANGUARD STAR FDS
$57M668K0.2%
06
ENB
ENBRIDGE INC
$49M908K0.2%
07
TD
TORONTO DOMINION BK ONT
$47M388K0.2%
08
RY
ROYAL BK CDA
$46M223K0.2%
09
BRK/B
BERKSHIRE HATHAWAY INC DEL
$46M92K0.2%
10
JPM
JPMORGAN CHASE & CO
$38M118K0.2%

Filing history

2026Q2Jun 30
$25.2B 9.2%
48 positionsView →
2026Q1Mar 31
$27.8B 31.4%
46 positionsView →
2025Q4Dec 31
$40.5B 14.4%
77 positionsView →
2025Q3Sep 30
$47.3B 22.4%
34 positionsView →
2025Q2Jun 30
$61.0B
33 positionsLocked