13F Filings for Dixon Mitchell Investment Counsel Inc. (CIK: 1993485)
View the most recent portfolio holdings disclosed by Dixon Mitchell Investment Counsel Inc. in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
N/A - iShares Core MSCI EAFE ETF(Class: COM) | 1.96M | $163.42M | 6.35% | Increased | 99.75K (5.0%, $22.87M) |
MSFT - Microsoft Corp(Class: COM) | 281.79K | $140.29M | 5.45% | Increased | 9.96K (3.0%, $38.15M) |
V - Visa Inc(Class: COM) | 381.02K | $135.44M | 5.26% | Increased | 10.27K (2.0%, $5.35M) |
TD - Toronto-Dominion Bank/The(Class: COM) | 1.64M | $120.78M | 4.69% | Increased | 21.87K (1.0%, $23.51M) |
ICE - Intercontinental Exchange Inc(Class: COM) | 653.84K | $120.06M | 4.67% | Decreased | 56.54K (7.0%, $2.57M) |
RY - Royal Bank of Canada(Class: COM) | 888.46K | $116.94M | 4.54% | Increased | 28.55K (3.0%, $20.02M) |
BRK.B - Berkshire Hathaway Inc(Class: COM) | 218.12K | $106.09M | 4.12% | Increased | 7.81K (3.0%, $6.06M) |
BN - Brookfield Corp(Class: COM) | 1.71M | $105.71M | 4.11% | Increased | 37.75K (2.0%, $18.13M) |
GOOGL - Alphabet Inc(Class: COM) | 543.29K | $95.88M | 3.73% | Increased | 19.89K (3.0%, $14.82M) |
TMO - Thermo Fisher Scientific Inc(Class: COM) | 209.71K | $85.14M | 3.31% | Increased | 58.36K (38.0%, $9.75M) |
BIP - Brookfield Infrastructure Part(Class: COM) | 2.50M | $83.74M | 3.25% | Increased | 797.43K (46.0%, $32.96M) |
WPM - Wheaton Precious Metals Corp(Class: COM) | 830.99K | $74.52M | 2.90% | Increased | 12.23K (1.0%, $10.88M) |
TFII - TFI International Inc(Class: COM) | 818.33K | $73.71M | 2.86% | Increased | 251.44K (44.0%, $29.49M) |
AME - AMETEK Inc(Class: COM) | 398.59K | $72.13M | 2.80% | Increased | 11.29K (2.0%, $5.46M) |
CNQ - Canadian Natural Resources Ltd(Class: COM) | 2.17M | $69.09M | 2.69% | Increased | 97.84K (4.0%, $4.39M) |
MEOH - Methanex Corp(Class: COM) | 2.04M | $67.58M | 2.63% | Increased | 814.88K (66.0%, $24.54M) |
HEI - HEICO Corp(Class: COM) | 201.17K | $65.98M | 2.56% | Increased | 7.36K (3.0%, $14.20M) |
AMZN - Amazon.com Inc(Class: COM) | 280.71K | $61.63M | 2.40% | Increased | 17.64K (6.0%, $11.54M) |
DPZ - Domino's Pizza Inc(Class: COM) | 131.66K | $59.33M | 2.31% | Increased | 3.74K (2.0%, $552.69K) |
LOW - Lowe's Cos Inc(Class: COM) | 259.42K | $57.61M | 2.24% | Increased | 11K (4.0%, $385.01K) |
CNI - Canadian National Railway Co(Class: COM) | 520.75K | $54.20M | 2.11% | Increased | 10.93K (2.0%, $4.55M) |
ROP - Roper Technologies Inc(Class: COM) | 93.94K | $53.29M | 2.07% | Increased | 3.87K (4.0%, $144.36K) |
TXN - Texas Instruments Inc(Class: COM) | 254.14K | $52.81M | 2.05% | Increased | 7.73K (3.0%, $8.49M) |
META - Meta Platforms Inc(Class: COM) | 63.12K | $46.59M | 1.81% | Increased | 17.27K (37.0%, $20.16M) |
TRI - Thomson Reuters Corp(Class: COM) | 212.51K | $42.65M | 1.66% | Increased | 2.93K (1.0%, $6.49M) |