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
21 Johnson & Johnson JNJ $152.67 N/A 3,172,743 $484,382,674 1.20%
22 Merck & Company, Inc. (new) MRK $131.73 N/A 3,625,399 $477,573,810 1.18%
23 Vertex Pharmaceuticals Incorpor VRTX $437.49 N/A 1,064,600 $465,751,854 1.15%
24 Nutrien Ltd. NTR $57.34 N/A 7,965,820 $456,760,119 1.13%
25 Mastercard Incorporated MA $458.00 N/A 975,050 $446,572,900 1.10%
26 Waste Connections, Inc. WCN $165.76 N/A 2,483,782 $411,711,704 1.02%
27 McDonald's Corporation MCD $273.87 N/A 1,482,634 $406,048,974 1.00%
28 Comcast Corporation CMCSA $39.25 N/A 10,094,534 $396,210,460 0.98%
29 Danaher Corporation DHR $263.46 N/A 1,485,843 $391,460,197 0.97%
30 Crowdstrike Holdings Inc CRWD $343.12 N/A 1,134,300 $389,201,016 0.96%
31 Cadence Design Systems, Inc. CDNS $293.10 N/A 1,295,781 $379,793,411 0.94%
32 Apple Inc. AAPL $189.72 N/A 1,944,636 $368,936,342 0.91%
33 Coca-Cola Company (The) KO $63.13 N/A 5,601,803 $353,641,823 0.87%
34 BCE, Inc. BCE $34.57 N/A 10,196,347 $352,487,716 0.87%
35 Honeywell International Inc. HON $205.06 N/A 1,715,221 $351,723,218 0.87%
36 Thermo Fisher Scientific Inc TMO $599.02 N/A 575,750 $344,885,765 0.85%
37 Pfizer, Inc. PFE $28.82 N/A 11,489,041 $331,114,162 0.82%
38 Medtronic plc. Ordinary Shares MDT $84.72 N/A 3,678,845 $311,671,748 0.77%
39 lululemon athletica inc. LULU $346.85 N/A 890,447 $308,851,542 0.76%
40 Telus Corporation Ordinary Shar TU $16.51 N/A 18,476,041 $305,039,437 0.75%