HoldingsChannel.com
1832 Asset Management L.P. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 7,712,063 -731,598 $1,242,559
     MSFT7,712,063-731,598$1,242,559
ROYAL BK CDA 15,221,801 +1,589,395 $921,712
     RY15,221,801+1,589,395$921,712
TORONTO DOMINION BK ONT 21,180,405 +2,071,148 $883,332
     TD21,180,405+2,071,148$883,332
VISA INC 4,752,316 +499,478 $790,802
     V4,752,316+499,478$790,802
BROOKFIELD ASSET MGMT INC 15,638,580 +829,238 $694,693
     BAM15,638,580+829,238$694,693
BANK NOVA SCOTIA B C 17,158,885 +1,344,413 $690,125
     BNS17,158,885+1,344,413$690,125
CANADIAN NATL RY CO 8,157,793 +894,767 $630,146
     CNI8,157,793+894,767$630,146
TC ENERGY CORP 13,603,002 +2,258,748 $568,469
     TRP13,603,002+2,258,748$568,469
FORTIS INC 13,741,279 +1,978,661 $515,092
     FTS13,741,279+1,978,661$515,092
CANADIAN PAC RY LTD 2,156,930 +69,672 $472,787
     CP2,156,930+69,672$472,787
ENBRIDGE INC 16,027,059 +276,425 $456,354
     ENB16,027,059+276,425$456,354
COSTCO WHSL CORP NEW 1,537,077 +572,815 $450,013
     COST1,537,077+572,815$450,013
JOHNSON & JOHNSON 3,278,459 +367,706 $438,318
     JNJ3,278,459+367,706$438,318
COMCAST CORP NEW 12,152,507 +1,513,683 $431,690
     CMCSA12,152,507+1,513,683$431,690
AMAZON COM INC 218,282 +189,226 $431,193
     AMZN218,282+189,226$431,193
APPLE INC 1,617,286 +377,393 $417,967
     AAPL1,617,286+377,393$417,967
PFIZER INC 11,631,152 +2,388,608 $382,472
     PFE11,631,152+2,388,608$382,472
BCE INC 8,940,645 -321,089 $352,936
     BCE8,940,645-321,089$352,936
SUNCOR ENERGY INC NEW 21,205,104 -786,053 $320,389
     SU21,205,104-786,053$320,389
MEDTRONIC PLC 3,392,975 +438,627 $313,917
     MDT3,392,975+438,627$313,917
ORACLE CORP 6,061,285 +40,300 $306,361
     ORCL6,061,285+40,300$306,361
TJX COS INC NEW 6,328,026 +762,354 $302,938
     TJX6,328,026+762,354$302,938
AMERICAN TOWER CORP NEW 1,297,096 +300,781 $300,578
     AMT1,297,096+300,781$300,578
CANADIAN IMP BK COMM 4,848,561 -402,948 $274,172
     CM4,848,561-402,948$274,172
HONEYWELL INTL INC 2,060,506 +213,851 $273,337
     HON2,060,506+213,851$273,337
MANULIFE FINL CORP 21,958,457 +1,047,251 $266,721
     MFC21,958,457+1,047,251$266,721
COCA COLA CO 5,674,652 +1,427,023 $256,887
     KO5,674,652+1,427,023$256,887
ROGERS COMMUNICATIONS INC 6,124,477 +236,177 $250,366
     RCI6,124,477+236,177$250,366
TELUS CORPORATION 15,760,065 +8,597,260 $241,735
     TU15,760,065+8,597,260$241,735
NUTRIEN LTD 6,959,716 +1,618,832 $236,576
     NTR6,959,716+1,618,832$236,576
VERTEX PHARMACEUTICALS INC 1,009,900 +333,900 $233,245
     VRTX1,009,900+333,900$233,245
MONDELEZ INTL INC 4,484,539 -135,550 $230,633
     MDLZ4,484,539-135,550$230,633
BROOKFIELD INFRAST PARTNERS 5,640,048 +971,557 $221,736
     BIP5,640,048+971,557$221,736
MCDONALDS CORP 1,311,787 +214,759 $221,678
     MCD1,311,787+214,759$221,678
UNITEDHEALTH GROUP INC 869,143 -162,759 $219,768
     UNH869,143-162,759$219,768
AIR PRODS & CHEMS INC 1,055,350 -3,960 $219,492
     APD1,055,350-3,960$219,492
ZOETIS INC 1,840,354 +455,657 $216,232
     ZTS1,840,354+455,657$216,232
DANAHER CORPORATION 1,480,164 +51,475 $209,467
     DHR1,480,164+51,475$209,467
SEMPRA ENERGY 1,751,126 +619,783 $208,711
     SRE1,751,126+619,783$208,711
MSCI INC 673,770 +484,992 $199,273
     MSCI673,770+484,992$199,273
STRYKER CORP 1,199,607 +1,005,913 $196,926
     SYK1,199,607+1,005,913$196,926
HOME DEPOT INC 966,868 +225,589 $189,876
     HD966,868+225,589$189,876
WASTE CONNECTIONS INC 2,386,649 -153,544 $186,075
     WCN2,386,649-153,544$186,075
PEMBINA PIPELINE CORP 9,905,766 -3,034,509 $184,878
     PBA9,905,766-3,034,509$184,878
LILLY ELI & CO 1,324,186 +1,321,470 $184,598
     LLY1,324,186+1,321,470$184,598
CANADIAN NAT RES LTD 14,262,648 -3,792,928 $184,381
     CNQ14,262,648-3,792,928$184,381
NIKE INC 2,134,099 -2,351,558 $183,170
     NKE2,134,099-2,351,558$183,170
MASTERCARD INC 719,875 -734,438 $182,432
     MA719,875-734,438$182,432
NEXTERA ENERGY INC 708,481 +151,782 $175,257
     NEE708,481+151,782$175,257
SERVICENOW INC 613,200 +13,625 $174,482
     NOW613,200+13,625$174,482

See Full List: All Stocks Held By 1832 Asset Management L.P.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By 1832 Asset Management L.P.

Size ($ in 1000's)
At 03/31/2020: $27,732,261
At 12/31/2019: $32,849,646

1832 Asset Management L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from 1832 Asset Management L.P. 13F filings. Link to 13F filings: SEC filings

1832 Asset Management L.P. Top Holdings 13F Filings | www.HoldingsChannel.com

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