StockScan > Holders > Bank Of Nova Scotia

Bank Of Nova Scotia's Portfolio and 13F Filing

Value: $52.24B
CIK: 0000009631
Phone: 416-945-4277
Address: 44 King Street West, Toronto, A6 (M5H 1H1)
Latest 13F Filing:
Bank Of Nova Scotia's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $420.99 4,027,183

9,885,539

up arrow 5,858,356

$4,161,713,064 7.97%
2 Apple Inc. AAPL $189.84 46,720

16,492,104

up arrow 16,445,384

$3,130,861,023 5.99%
3 Royal Bank Of Canada RY $105.99 25,133,475

23,615,062

up arrow -1,518,413

$2,502,960,421 4.79%
4 General Electric Company GE $161.12 4,886,398

10,034,288

up arrow 5,147,890

$1,616,724,483 3.09%
5 Bank Of Montreal BMO $94.45 N/A 13,512,141 $1,276,221,717 2.44%
6 Canadian Natural Resources Limi CNQ $75.77 12,442,650

12,530,021

up arrow 87,371

$949,399,691 1.82%
7 Enbridge Inc ENB $36.76 21,058,704

23,085,058

up arrow 2,026,354

$848,606,732 1.62%
8 Canadian National Railway Compa CNI $126.57 6,486,724

6,613,165

up arrow 126,441

$837,028,294 1.60%
9 JP Morgan Chase & Co. JPM $202.47 2,090,303

4,121,570

up arrow 2,031,267

$834,494,278 1.60%
10 Brookfield Asset Management Inc BAM $39.97 18,131,277

18,181,876

up arrow 50,599

$726,729,584 1.39%
11 Manulife Financial Corporation MFC $26.39 25,256,821

26,755,667

up arrow 1,498,846

$706,082,052 1.35%
12 Suncor Energy Inc. SU $39.77 15,425,444

17,211,144

up arrow 1,785,700

$684,487,197 1.31%
13 SPDR Select Sector Fund - Finan XLF $42.18 N/A 16,040,100 $676,571,418 1.30%
14 Canadian Imperial Bank of Comme CM $48.94 11,353,056

13,427,518

up arrow 2,074,462

$657,142,731 1.26%
15 Philip Morris International Inc PM $100.66 1,017,138

5,875,791

up arrow 4,858,653

$591,457,122 1.13%
16 SPDR Select Sector Fund - Energ XLE $93.65 629,720

6,170,000

up arrow 5,540,280

$577,820,500 1.11%
17 NVIDIA Corporation NVDA $943.59 110,585

584,948

up arrow 474,363

$551,951,083 1.06%
18 Vanguard Information Tech ETF VGT $533.85 991,651

924,144

up arrow -67,507

$493,354,274 0.94%
19 Merck & Company, Inc. (new) MRK $130.88 921,509

3,680,688

up arrow 2,759,179

$481,728,445 0.92%
20 Sun Life Financial Inc. SLF $51.50 9,234,175

9,301,664

up arrow 67,489

$479,035,696 0.92%