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ROYAL BANK OF CANADA Last Quarter Change: USA Stocks, New

ROYAL BANK OF CANADA quarter change: USA Stocks, New

In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, ROYAL BANK OF CANADA opened 286 positions, added to 2,344, reduced 1,349, sold out of 231 and left 128 unchanged. The largest increase in value was RY (+$3,003,108,000); the largest decrease was HONZZZZ (-$1,524,037,000).

  • HON: Country of operation United States; Class COM; Shares 2026-03-31 0; Shares 2026-06-30 3,479,049.
  • HONA: Country of operation United States; Class COM; Shares 2026-03-31 0; Shares 2026-06-30 3,485,852.
  • TRI: Country of operation Canada; Class COM; Shares 2026-03-31 0; Shares 2026-06-30 8,003,836.
  • OGC: Country of operation Canada; Class COM NEW; Shares 2026-03-31 0; Shares 2026-06-30 5,333,123.

Two Form 13F-HR filings compared (SEC CIK 1000275): 2026-03-31 (filed 2026-05-15) and 2026-06-30 (filed 2026-08-14). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.

StockCountry of operationClassShares 2026-03-31Shares 2026-06-30Share changeValue 2026-03-31Value 2026-06-30Value change
HON
HONEYWELL INTL INC
United StatesCOM03,479,049+3,479,049$0$778,957,000+$778,957,000
HONA
HONEYWELL AEROSPACE INC
United StatesCOM03,485,852+3,485,852$0$770,650,000+$770,650,000
TRI
THOMSON REUTERS CORP
CanadaCOM08,003,836+8,003,836$0$653,673,000+$653,673,000
OGC
OCEANAGOLD CORP
CanadaCOM NEW05,333,123+5,333,123$0$133,756,000+$133,756,000
CCL
CARNIVAL CORP LTD
United StatesCOMMON SHARES03,445,030+3,445,030$0$98,425,000+$98,425,000
FDXF
FEDEX FGHT HLDG CO INC
United StatesCOMMON STOCK0387,180+387,180$0$58,463,000+$58,463,000
BEPC
BROOKFIELD RENEWABLE CORP
United StatesCL A EX SUB01,501,708+1,501,708$0$55,743,000+$55,743,000
DD
DUPONT DE NEMOURS INC
United StatesCOMMON STOCK0357,757+357,757$0$48,526,000+$48,526,000
AYA
AYA GOLD & SILVER INC
COM01,332,569+1,332,569$0$25,239,000+$25,239,000
CBRS
CEREBRAS SYSTEMS INC
United StatesCOM CL A065,534+65,534$0$14,484,000+$14,484,000
SAMT
ADVISORS INNER CIRCLE FD III
STRATEGAS MACRO0278,429+278,429$0$13,291,000+$13,291,000
TGB
TREKOR METALS LTD
COM01,819,292+1,819,292$0$12,517,000+$12,517,000
SA
SEABRIDGE GOLD INC
COM0311,417+311,417$0$8,017,000+$8,017,000
ASND
ASCENDIS PHARMA A/S
ORD SHS027,283+27,283$0$7,277,000+$7,277,000
WSE
WISE GROUP PLC
ORD SHS CLASS A0534,317+534,317$0$6,364,000+$6,364,000
INIO
INNIO NV
ORDINARY SHARES0131,903+131,903$0$5,216,000+$5,216,000
OCTV
OCTAVE INTELLIGENCE PLC
United StatesORD SHS CL B0279,843+279,843$0$4,562,000+$4,562,000
SCOP
SPROTT PHYSICAL COPPER TRUST
CanadaUNITS0371,121+371,121$0$4,226,000+$4,226,000
VGNT
VERSIGENT PLC
ORDINARY SHARES082,364+82,364$0$3,460,000+$3,460,000
HAWK
HAWKEYE 360 INC
United StatesCOM SHS0115,511+115,511$0$2,336,000+$2,336,000
WHK
WHITEHAWK MINERALS CORP
United StatesCL A079,586+79,586$0$2,214,000+$2,214,000
SSMR
SUNSHINE SILVER MNG & REFNG
United StatesCOMMON STOCK0150,000+150,000$0$1,983,000+$1,983,000
BXDC
BLACKSTONE DIGITAL INFRASTRU
United StatesCOMMON STOCK091,412+91,412$0$1,977,000+$1,977,000
PSUS
PERSHING SQUARE USA LTD
United StatesCOM SHS044,078+44,078$0$1,648,000+$1,648,000
MAIR
MADISON AIR SOLUTIONS CORP
United StatesCOM SHS CL A035,016+35,016$0$1,365,000+$1,365,000
DPC
DPC HOLDINGS PLC
United KingdomORDINARY SHARES025,013+25,013$0$1,227,000+$1,227,000
AVEX
AEVEX CORP
United StatesCOM CL A055,861+55,861$0$1,167,000+$1,167,000
MKLY
MCKINLEY ACQUISITION CORP
United StatesSHS CL A094,335+94,335$0$958,000+$958,000
CDNL
CARDINAL INFRASTRUCTURE GROU
United StatesCL A07,542+7,542$0$711,000+$711,000
FRVO
FERVO ENERGY CO
United StatesCL A COM023,828+23,828$0$696,000+$696,000
CTAA
CLEARTHINK 1 ACQUISITION COR
ORD SHS CL A062,437+62,437$0$619,000+$619,000
AACI
ARMADA ACQUISITION CORP III
ORD SHS CL A054,047+54,047$0$540,000+$540,000
MNR
MACH NATURAL RESOURCES LP
United StatesCOM UN LT PA IN041,500+41,500$0$525,000+$525,000
BRUN
BOOST RUN INC
United StatesORD SHS CL A013,150+13,150$0$510,000+$510,000
SAGU
SHREYA ACQUISITION GROUP
ORD CL A050,215+50,215$0$497,000+$497,000
CRIB
RUSSELL INVTS EXCHANGE TRADE
GLOBAL REAL ESTA019,527+19,527$0$493,000+$493,000
ETSSU
ENERGY TRANSITION SPL OPPORT
UNIT 99/99/9999049,200+49,200$0$492,000+$492,000
FMAC
FUTURE MONEY ACQUISITION COR
ORD SHS047,640+47,640$0$475,000+$475,000
VECA
VERNAL CAP ACQUISITION CORP
ORD SHS044,199+44,199$0$439,000+$439,000
MYX
MAYWOOD ACQUISITION CORP 2
ORD SHS CL A USD042,041+42,041$0$415,000+$415,000
PS
PERSHING SQUARE INC
United StatesCOMMON STOCK012,575+12,575$0$413,000+$413,000
QNT
QUANTINUUM INC
United StatesCL A COM05,023+5,023$0$411,000+$411,000
MOBI
MOBIA MED INC
United StatesCOMMON STOCK025,454+25,454$0$341,000+$341,000
KEEL
KEEL INFRASTRUCTURE CORP
COM SHS047,604+47,604$0$273,000+$273,000
INV
INNVENTURE INC
United StatesCOM053,515+53,515$0$272,000+$272,000
XE
X-ENERGY INC
United StatesCOM CL A014,720+14,720$0$271,000+$271,000
TRT
TRIO TECH INTL
United StatesCOM NEW021,540+21,540$0$265,000+$265,000
MMSD
NEW YORK LIFE INVTS ACTIVE E
MACKAY MUNI SHRT010,282+10,282$0$260,000+$260,000
IAUM
ISHARES GOLD TRUST MICRO
United StatesSHS REPSTG UN TR06,018+6,018$0$240,000+$240,000
MBGL
MOBILITY GLOBAL INC
United StatesCOM SHS010,633+10,633$0$234,000+$234,000
TTRX
TURN THERAPEUTICS INC
United StatesCOM028,250+28,250$0$206,000+$206,000
NWAX
NEW AMER ACQUISITION I CORP
United StatesCOM SHS CL A019,500+19,500$0$198,000+$198,000
GBTG
GLOBAL BUSINESS TRAVEL GROUP
United StatesCOM CL A019,560+19,560$0$184,000+$184,000
TRAX
FIRST TRACKS BIOTHERAPEUTICS
United StatesORD SHS07,315+7,315$0$147,000+$147,000
SHAZ
SHARONAI HOLDINGS INC
United StatesCOM CL A01,674+1,674$0$142,000+$142,000
AADX
APPLIED AEROSPACE & DEFENSE
United StatesCOMMON STOCK05,149+5,149$0$117,000+$117,000
FTHAU
FOREFRONT TECHNOLOGY HOLDING
UNIT 04/30/2031010,386+10,386$0$106,000+$106,000
GLIBK
LIBERTY CAP CORP
United StatesSER C GCI GROUP04,446+4,446$0$96,000+$96,000
GLIBA
LIBERTY CAP CORP
United StatesSER A GCI GROUP04,371+4,371$0$95,000+$95,000
ORIC
ORIC PHARMACEUTICALS INC
United StatesCOM08,237+8,237$0$89,000+$89,000
BOIL
PROSHARES TR II
United StatesULTRA BLOOMBERG03,033+3,033$0$83,000+$83,000
PTRN
PATTERN GROUP INC
United StatesCOM SER A03,127+3,127$0$79,000+$79,000
ARXS
ARXIS INC
United StatesCL A COM01,716+1,716$0$79,000+$79,000
SMOM
SYMMETRY PANORAMIC TR
SECTOR MOMENTUM02,816+2,816$0$78,000+$78,000
TRLVXXXX
TRULIEVE CANNABIS CORP
SUB VTG SHS07,752+7,752$0$76,000+$76,000
PNRG
PRIMEENERGY RESOURCES CORP
United StatesCOM0419+419$0$70,000+$70,000
SEPN
SEPTERNA INC
United StatesCOM02,098+2,098$0$70,000+$70,000
AIRT
AIR T INC
United StatesCOM02,600+2,600$0$69,000+$69,000
KLRA
KAILERA THERAPEUTICS INC
United StatesCOMMON STOCK02,924+2,924$0$65,000+$65,000
WOOF
PETCO HEALTH & WELLNESS CO I
United StatesCL A COM022,777+22,777$0$62,000+$62,000
EROC
EROCK INC
United StatesCL A COM04,089+4,089$0$59,000+$59,000
GCTSWS
GCT SEMICONDUCTOR HLDG INC
United States*W EXP 03/01/2020117,000+117,000$0$57,000+$57,000
TMFG
RBB FD INC
MOTLEY FOOL GBL01,818+1,818$0$56,000+$56,000
ONCY
ONCOLYTICS BIOTECH INC
COM NEW057,411+57,411$0$55,000+$55,000
NVRI
ENVIRI CORP
United StatesCOM02,370+2,370$0$52,000+$52,000
QVOL
SERIES PORTFOLIOS TR
INFRASTRUCTURE0455+455$0$47,000+$47,000
ASIC
ATEGRITY SPECIALTY IN CO HO
United StatesCOM01,762+1,762$0$42,000+$42,000
PLTM
GRANITESHARES PLATINUM TR
United StatesSHS BEN INT02,500+2,500$0$37,000+$37,000
EIKN
EIKON THERAPEUTICS INC
United StatesCOM02,784+2,784$0$36,000+$36,000
BNED
BARNES & NOBLE ED INC
United StatesCOM NEW02,567+2,567$0$32,000+$32,000
BOT
ROBOSTRATEGY INC
COM SHS0750+750$0$30,000+$30,000
HMH
HMH HLDG INC
United StatesCL A01,507+1,507$0$29,000+$29,000
AACP
APOGEE ACQUISITION CORP
ORD SHS CL A02,909+2,909$0$29,000+$29,000
FIGX
FIGX CAP ACQUISITION CORP.
USD CL A ORD SHS02,819+2,819$0$29,000+$29,000
GBFH
GBANK FINL HLDGS INC
United StatesCOM0977+977$0$29,000+$29,000
FENC
FENNEC PHARMACEUTICALS INC
United StatesCOM02,684+2,684$0$29,000+$29,000
AACO
ABONY ACQUISITION CORP I
ORD SHS CL A02,843+2,843$0$28,000+$28,000
LPAA
LAUNCH ONE ACQUISITION CORP
SHS CLASS A02,467+2,467$0$27,000+$27,000
MDAI
SPECTRAL AI INC
United StatesCOM CL A015,452+15,452$0$27,000+$27,000
WSBK
WINCHESTER BANCORP INC
United StatesCOM02,000+2,000$0$26,000+$26,000
ATLO
AMES NATL CORP
United StatesCOM0904+904$0$26,000+$26,000
BIOA
BIOAGE LABS INC
United StatesCOM01,070+1,070$0$26,000+$26,000
MITT
TPG MTG INVTS TR INC
United StatesCOM NEW03,154+3,154$0$25,000+$25,000
AKTS
AKTIS ONCOLOGY INC
United StatesCOM0797+797$0$25,000+$25,000
HCIC
HENNESSY CAP INVTS CORP VIII
United StatesORD CL A02,451+2,451$0$24,000+$24,000
SNFCA
SECURITY NATL FINL CORP
United StatesCL A NEW02,341+2,341$0$23,000+$23,000
LBRX
LB PHARMACEUTICALS INC
United StatesCOM SHS0698+698$0$23,000+$23,000
EIC
EAGLE POINT INCOME COMPANY I
United StatesCOM02,251+2,251$0$23,000+$23,000
NHP
NATIONAL HEALTHCARE PPTYS IN
United StatesCOM CLASS A01,502+1,502$0$22,000+$22,000
YSWY
YESWAY INC
United StatesCOM CL A01,085+1,085$0$22,000+$22,000

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