StockScan > Holders > 1832 Asset Management

1832 Asset Management's Portfolio and 13F Filing

Value: $40.5B
Website:
CIK: 0000944388
Phone: 416-627-0438
Address: 1 Adelaide Street East, Toronto, A6 (M5V 2C9)
Latest 13F Filing: 2020-10-01
1832 Asset Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $423.08 N/A 8,004,533 $3,386,557,822 8.36%
2 Royal Bank Of Canada RY $105.49 N/A 15,537,754 $1,639,077,669 4.05%
3 Visa Inc. V $281.50 N/A 4,163,376 $1,171,990,344 2.89%
4 Canadian National Railway Compa CNI $125.39 N/A 8,368,546 $1,049,331,983 2.59%
5 Canadian Natural Resources Limi CNQ $76.03 N/A 13,121,160 $997,601,795 2.46%
6 Suncor Energy Inc. SU $39.41 N/A 23,469,807 $924,945,094 2.28%
7 Bank Nova Scotia Halifax Pfd 3 BNS $48.52 N/A 18,134,158 $879,869,346 2.17%
8 Brookfield Asset Management Inc BAM $40.02 N/A 20,556,438 $822,668,649 2.03%
9 Oracle Corporation ORCL $121.63 N/A 6,260,948 $761,519,105 1.88%
10 Eli Lilly and Company LLY $787.02 N/A 964,466 $759,054,031 1.87%
11 Enbridge Inc ENB $36.99 N/A 19,498,252 $721,240,341 1.78%
12 NVIDIA Corporation NVDA $946.30 N/A 725,847 $686,869,016 1.70%
13 Costco Wholesale Corporation COST $787.04 N/A 835,160 $657,304,326 1.62%
14 Servicenow Inc NOW $760.57 N/A 806,680 $613,536,608 1.51%
15 Fortis Inc. FTS $41.09 N/A 14,107,577 $579,680,339 1.43%
16 Manulife Financial Corporation MFC $26.15 N/A 21,222,104 $554,958,020 1.37%
17 The Home Depot Inc HD $348.67 N/A 1,577,376 $549,983,690 1.36%
18 Progressive Corporation (The) PGR $209.25 N/A 2,544,750 $532,488,938 1.31%
19 Synopsys, Inc. SNPS $580.20 N/A 884,620 $513,256,524 1.27%
20 UnitedHealth Group Incorporated UNH $517.55 N/A 975,662 $504,953,868 1.25%