HoldingsChannel.com
1832 Asset Management L.P. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 8,004,533 +292,470 $1,601,836
     MSFT8,004,533+292,470$1,601,836
ROYAL BK CDA 15,537,754 +315,953 $1,054,869
     RY15,537,754+315,953$1,054,869
TORONTO DOMINION BK ONT 21,440,426 +260,021 $952,945
     TD21,440,426+260,021$952,945
VISA INC 4,163,376 -588,940 $802,751
     V4,163,376-588,940$802,751
BANK NOVA SCOTIA B C 18,134,158 +975,273 $743,763
     BNS18,134,158+975,273$743,763
CANADIAN NATL RY CO 8,368,546 +210,753 $733,948
     CNI8,368,546+210,753$733,948
AMAZON COM INC 270,115 +51,833 $732,590
     AMZN270,115+51,833$732,590
APPLE INC 1,944,636 +327,350 $713,674
     AAPL1,944,636+327,350$713,674
BROOKFIELD ASSET MGMT INC 20,556,438 +4,917,858 $675,302
     BAM20,556,438+4,917,858$675,302
TC ENERGY CORP 14,363,867 +760,865 $607,234
     TRP14,363,867+760,865$607,234
ENBRIDGE INC 19,498,252 +3,471,193 $594,993
     ENB19,498,252+3,471,193$594,993
CANADIAN PAC RY LTD 2,115,654 -41,276 $533,743
     CP2,115,654-41,276$533,743
FORTIS INC 14,107,577 +366,298 $532,811
     FTS14,107,577+366,298$532,811
JOHNSON & JOHNSON 3,172,743 -105,716 $444,613
     JNJ3,172,743-105,716$444,613
BCE INC 10,196,347 +1,255,702 $426,067
     BCE10,196,347+1,255,702$426,067
SUNCOR ENERGY INC NEW 23,469,807 +2,264,703 $399,750
     SU23,469,807+2,264,703$399,750
COMCAST CORP NEW 10,094,534 -2,057,973 $395,437
     CMCSA10,094,534-2,057,973$395,437
HOME DEPOT INC 1,577,376 +610,508 $391,265
     HD1,577,376+610,508$391,265
PFIZER INC 11,489,041 -142,111 $377,713
     PFE11,489,041-142,111$377,713
ORACLE CORP 6,260,948 +199,663 $345,445
     ORCL6,260,948+199,663$345,445
MEDTRONIC PLC 3,678,845 +285,870 $334,636
     MDT3,678,845+285,870$334,636
SEMPRA ENERGY 2,808,407 +1,057,281 $334,254
     SRE2,808,407+1,057,281$334,254
CANADIAN IMP BK COMM 4,944,632 +96,071 $328,537
     CM4,944,632+96,071$328,537
SERVICENOW INC 806,680 +193,480 $318,079
     NOW806,680+193,480$318,079
TELUS CORPORATION 18,476,041 +2,715,976 $308,730
     TU18,476,041+2,715,976$308,730
VERTEX PHARMACEUTICALS INC 1,064,600 +54,700 $303,961
     VRTX1,064,600+54,700$303,961
MASTERCARD INCORPORATED 975,050 +255,175 $287,772
     MA975,050+255,175$287,772
AMERICAN TOWER CORP NEW 1,116,860 -180,236 $285,780
     AMT1,116,860-180,236$285,780
UNITEDHEALTH GROUP INC 975,662 +106,519 $285,024
     UNH975,662+106,519$285,024
MANULIFE FINL CORP 21,222,104 -736,353 $284,894
     MFC21,222,104-736,353$284,894
MERCK & CO. INC 3,625,399 +2,630,640 $277,702
     MRK3,625,399+2,630,640$277,702
MCDONALDS CORP 1,482,634 +170,847 $273,033
     MCD1,482,634+170,847$273,033
ROGERS COMMUNICATIONS INC 6,698,489 +574,012 $271,825
     RCI6,698,489+574,012$271,825
DOLLAR GEN CORP NEW 1,414,656 +437,436 $270,979
     DG1,414,656+437,436$270,979
NVIDIA CORPORATION 725,847 +76,149 $269,242
     NVDA725,847+76,149$269,242
BROOKFIELD INFRAST PARTNERS 6,601,220 +961,172 $268,547
     BIP6,601,220+961,172$268,547
LULULEMON ATHLETICA INC 890,447 +108,500 $265,073
     LULU890,447+108,500$265,073
NUTRIEN LTD 7,965,820 +1,006,104 $260,842
     NTR7,965,820+1,006,104$260,842
DANAHER CORPORATION 1,485,843 +5,679 $258,479
     DHR1,485,843+5,679$258,479
COSTCO WHSL CORP NEW 835,160 -701,917 $253,719
     COST835,160-701,917$253,719
COCA COLA CO 5,601,803 -72,849 $250,254
     KO5,601,803-72,849$250,254
HONEYWELL INTL INC 1,715,221 -345,285 $247,555
     HON1,715,221-345,285$247,555
COUPA SOFTWARE INC 886,700 -2,223,100 $240,826
     COUP886,700-223,100$240,826
WASTE CONNECTIONS INC 2,483,782 +97,133 $230,620
     WCN2,483,782+97,133$230,620
CANADIAN NAT RES LTD 13,121,160 -1,141,488 $229,842
     CNQ13,121,160-1,141,488$229,842
DOCUSIGN INC 1,337,300 -6,300 $228,238
     DOCU1,337,300-6,300$228,238
RINGCENTRAL INC 827,500 +61,400 $223,769
     RNG827,500+61,400$223,769
THERMO FISHER SCIENTIFIC INC 575,750 +290,633 $203,498
     TMO575,750+290,633$203,498
PROGRESSIVE CORP OHIO 2,544,750 +495,251 $201,240
     PGR2,544,750+495,251$201,240
SEATTLE GENETICS INC 1,228,100 +290,400 $201,010
     SGEN1,228,100+290,400$201,010

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 06/30/2020: $33,317,219
At 03/31/2020: $27,732,261

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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