HoldingsChannel.com
All Stocks Held By Cardinal Capital Management Inc.
As of  03/31/2024, we find all stocks held by Cardinal Capital Management Inc. to be as follows, presented in the table below with each row detailing each Cardinal Capital Management Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Cardinal Capital Management Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Cardinal Capital Management Inc. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
Suncor Energy Inc. 3,708,549 -116,593 $136,966
     SU3,708,549-116,593$136,966
Manulife Financial Corp. 5,188,673 -79,815 $129,684
     MFC5,188,673-79,815$129,684
Bank of Montreal 1,233,075 +1,761 $120,479
     BMO1,233,075+1,761$120,479
Royal Bank of Canada 1,180,530 +872 $119,156
     RY1,180,530+872$119,156
Canadian Imperial Bank of Commerce 2,279,009 -19,874 $115,622
     CM2,279,009-19,874$115,622
Gildan Activewear Inc. 2,865,050 -23,045 $106,406
     GIL2,865,050-23,045$106,406
Canadian Pacific Kansas City Ltd. 1,174,210 -5,969 $103,606
     CP1,174,210-5,969$103,606
TC Energy Corp. 2,516,832 +32,795 $101,227
     TRP2,516,832+32,795$101,227
Enbridge Inc. 2,755,230 +37,099 $99,641
     ENB2,755,230+37,099$99,641
Bank of Nova Scotia 1,918,252 +38,880 $99,304
     BNS1,918,252+38,880$99,304
Brookfield Corp. 2,320,364 -11,578 $97,166
     BN2,320,364-11,578$97,166
Pembina Pipeline Corp. 2,666,186 +30,102 $94,175
     PBA2,666,186+30,102$94,175
Toronto Dominion Bank 1,547,298 -247,686 $93,452
     TD1,547,298-247,686$93,452
Canadian National Railway Co. 448,479 -2,531 $59,100
     CNI448,479-2,531$59,100
Sun Life Financial Inc. 771,631 -13,922 $42,135
     SLF771,631-13,922$42,135
Applied Materials Inc. 203,248 -19,130 $41,916
     AMAT203,248-19,130$41,916
JPMorgan Chase & Co. 183,601 -12,863 $36,775
     JPM183,601-12,863$36,775
AbbVie Inc. 196,491 -3,561 $35,781
     ABBV196,491-3,561$35,781
Cummins Inc. 112,753 -274 $33,223
     CMI112,753-274$33,223
Wells Fargo & Co. 571,442 -7,018 $33,121
     WFC571,442-7,018$33,121
T Mobile US Inc. 188,530 +1,655 $30,772
     TMUS188,530+1,655$30,772
Nutrien Ltd. 542,380 +102,155 $29,488
     NTR542,380+102,155$29,488
SAP SE ADR 150,415 -5,061 $29,335
     SAP150,415-5,061$29,335
Home Depot Inc. The 76,150 +1,488 $29,211
     HD76,150+1,488$29,211
Merck & Co. Inc. 220,413 -71,993 $29,083
     MRK220,413-71,993$29,083
Oracle Corp 225,956 -1,834 $28,382
     ORCL225,956-1,834$28,382
Air Products & Chemicals Inc. 116,775 +116,775 $28,291
     APD116,775+116,775$28,291
NextEra Energy Inc. 434,701 +245,641 $27,782
     NEE434,701+245,641$27,782
Comcast Corp. Class A 632,431 +820 $27,416
     CMCSA632,431+820$27,416
Stanley Black & Decker Inc. 265,831 +10,270 $26,033
     SWK265,831+10,270$26,033
CVS Health Corp. 323,790 +2,600 $25,825
     CVS323,790+2,600$25,825
Sony Group Corp. SP ADR 297,851 +995 $25,538
     SONY297,851+995$25,538
Honeywell International Inc. 122,060 +1,665 $25,053
     HON122,060+1,665$25,053
NXP Semiconductors NV ADR 97,904 +97,904 $24,258
     NXPI97,904+97,904$24,258
Medtronic PLC ADR 236,476 +28,300 $20,609
     MDT236,476+28,300$20,609
Broadcom Ltd. 15,516 -2,748 $20,565
     AVGO15,516-2,748$20,565
Unilever PLC ADR 398,947 +32,460 $20,023
     UL398,947+32,460$20,023
Granite Real Estate Investment      $19,540
     GRP.U342,105+55,035$19,540
ConocoPhillips 122,140 +6,110 $15,546
     COP122,140+6,110$15,546
UnitedHealth Group Inc. 30,267 +1,222 $14,973
     UNH30,267+1,222$14,973
Gilead Sciences Inc. 189,220 +8,930 $13,860
     GILD189,220+8,930$13,860
Equinix Inc. 16,610 +1,038 $13,709
     EQIX16,610+1,038$13,709
Global Payments Inc. 101,166 +5,340 $13,522
     GPN101,166+5,340$13,522
TELUS Corp. 333,576 +545 $5,340
     TU333,576+545$5,340
BCE Inc. 146,588 -38 $4,985
     BCE146,588-38$4,985
US Bancorp 38,031 +1,090 $1,700
     USB38,031+1,090$1,700
Bank of America Corp. 11,165 -804,490 $423
     BAC11,165-804,490$423
Fortis Inc. Canada 10,115 +925 $400
     FTS10,115+925$400
Microsoft Corp. 902 -121 $379
     MSFT902-121$379
Electronic Arts Inc. 2,445 +385 $324
     EA2,445+385$324
Amgen Inc. 1,000 UNCH $284
     AMGN1,000UNCH$284
Apple Inc. 1,325 UNCH $227
     AAPL1,325UNCH$227
Texas Instruments Inc 1,200 +1,200 $209
     TXN1,200+1,200$209
Cisco Systems Inc. $0 (exited)
     CSCO0-7,500$0
Rogers Communications Inc. C 0 -7,275 $0 (exited)
     RCI0-7,275$0

See Summary: Cardinal Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Cardinal Capital Management Inc.

EntityShares/Amount
Change
Position Value
Change
APD +116,775+$28,291
NXPI +97,904+$24,258
TXN +1,200+$209
EntityShares/Amount
Change
Position Value
Change
CSCO -7,500-$379
RCI -7,275-$342
EntityShares/Amount
Change
Position Value
Change
NEE +245,641+$16,298
NTR +102,155+$4,608
GRP +55,035+$2,961
BNS +38,880+$7,530
ENB +37,099+$1,480
TRP +32,795+$3,885
UL +32,460+$2,256
PBA +30,102+$3,128
MDT +28,300+$3,459
SWK +10,270+$962
EntityShares/Amount
Change
Position Value
Change
BAC -804,490-$27,040
TD -247,686-$22,903
SU -116,593+$14,031
MFC -79,815+$12,894
MRK -71,993-$2,795
GIL -23,045+$10,590
CM -19,874+$4,579
AMAT -19,130+$5,875
SLF -13,922+$1,264
Size ($ in 1000's)
At 03/31/2024: $2,252,020
At 12/31/2023: $2,111,107

Cardinal Capital Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cardinal Capital Management Inc. 13F filings. Link to 13F filings: SEC filings

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