Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Suncor Energy Inc. | 3,708,549 | -116,593 | $136,966 |
SU | 3,708,549 | -116,593 | $136,966 |
Manulife Financial Corp. | 5,188,673 | -79,815 | $129,684 |
MFC | 5,188,673 | -79,815 | $129,684 |
Bank of Montreal | 1,233,075 | +1,761 | $120,479 |
BMO | 1,233,075 | +1,761 | $120,479 |
Royal Bank of Canada | 1,180,530 | +872 | $119,156 |
RY | 1,180,530 | +872 | $119,156 |
Canadian Imperial Bank of Commerce | 2,279,009 | -19,874 | $115,622 |
CM | 2,279,009 | -19,874 | $115,622 |
Gildan Activewear Inc. | 2,865,050 | -23,045 | $106,406 |
GIL | 2,865,050 | -23,045 | $106,406 |
Canadian Pacific Kansas City Ltd. | 1,174,210 | -5,969 | $103,606 |
CP | 1,174,210 | -5,969 | $103,606 |
TC Energy Corp. | 2,516,832 | +32,795 | $101,227 |
TRP | 2,516,832 | +32,795 | $101,227 |
Enbridge Inc. | 2,755,230 | +37,099 | $99,641 |
ENB | 2,755,230 | +37,099 | $99,641 |
Bank of Nova Scotia | 1,918,252 | +38,880 | $99,304 |
BNS | 1,918,252 | +38,880 | $99,304 |
Brookfield Corp. | 2,320,364 | -11,578 | $97,166 |
BN | 2,320,364 | -11,578 | $97,166 |
Pembina Pipeline Corp. | 2,666,186 | +30,102 | $94,175 |
PBA | 2,666,186 | +30,102 | $94,175 |
Toronto Dominion Bank | 1,547,298 | -247,686 | $93,452 |
TD | 1,547,298 | -247,686 | $93,452 |
Canadian National Railway Co. | 448,479 | -2,531 | $59,100 |
CNI | 448,479 | -2,531 | $59,100 |
Sun Life Financial Inc. | 771,631 | -13,922 | $42,135 |
SLF | 771,631 | -13,922 | $42,135 |
Applied Materials Inc. | 203,248 | -19,130 | $41,916 |
AMAT | 203,248 | -19,130 | $41,916 |
JPMorgan Chase & Co. | 183,601 | -12,863 | $36,775 |
JPM | 183,601 | -12,863 | $36,775 |
AbbVie Inc. | 196,491 | -3,561 | $35,781 |
ABBV | 196,491 | -3,561 | $35,781 |
Cummins Inc. | 112,753 | -274 | $33,223 |
CMI | 112,753 | -274 | $33,223 |
Wells Fargo & Co. | 571,442 | -7,018 | $33,121 |
WFC | 571,442 | -7,018 | $33,121 |
T Mobile US Inc. | 188,530 | +1,655 | $30,772 |
TMUS | 188,530 | +1,655 | $30,772 |
Nutrien Ltd. | 542,380 | +102,155 | $29,488 |
NTR | 542,380 | +102,155 | $29,488 |
SAP SE ADR | 150,415 | -5,061 | $29,335 |
SAP | 150,415 | -5,061 | $29,335 |
Home Depot Inc. The | 76,150 | +1,488 | $29,211 |
HD | 76,150 | +1,488 | $29,211 |
Merck & Co. Inc. | 220,413 | -71,993 | $29,083 |
MRK | 220,413 | -71,993 | $29,083 |
Oracle Corp | 225,956 | -1,834 | $28,382 |
ORCL | 225,956 | -1,834 | $28,382 |
Air Products & Chemicals Inc. | 116,775 | +116,775 | $28,291 |
APD | 116,775 | +116,775 | $28,291 |
NextEra Energy Inc. | 434,701 | +245,641 | $27,782 |
NEE | 434,701 | +245,641 | $27,782 |
Comcast Corp. Class A | 632,431 | +820 | $27,416 |
CMCSA | 632,431 | +820 | $27,416 |
Stanley Black & Decker Inc. | 265,831 | +10,270 | $26,033 |
SWK | 265,831 | +10,270 | $26,033 |
CVS Health Corp. | 323,790 | +2,600 | $25,825 |
CVS | 323,790 | +2,600 | $25,825 |
Sony Group Corp. SP ADR | 297,851 | +995 | $25,538 |
SONY | 297,851 | +995 | $25,538 |
Honeywell International Inc. | 122,060 | +1,665 | $25,053 |
HON | 122,060 | +1,665 | $25,053 |
NXP Semiconductors NV ADR | 97,904 | +97,904 | $24,258 |
NXPI | 97,904 | +97,904 | $24,258 |
Medtronic PLC ADR | 236,476 | +28,300 | $20,609 |
MDT | 236,476 | +28,300 | $20,609 |
Broadcom Ltd. | 15,516 | -2,748 | $20,565 |
AVGO | 15,516 | -2,748 | $20,565 |
Unilever PLC ADR | 398,947 | +32,460 | $20,023 |
UL | 398,947 | +32,460 | $20,023 |
Granite Real Estate Investment | $19,540 | ||
GRP.U | 342,105 | +55,035 | $19,540 |
ConocoPhillips | 122,140 | +6,110 | $15,546 |
COP | 122,140 | +6,110 | $15,546 |
UnitedHealth Group Inc. | 30,267 | +1,222 | $14,973 |
UNH | 30,267 | +1,222 | $14,973 |
Gilead Sciences Inc. | 189,220 | +8,930 | $13,860 |
GILD | 189,220 | +8,930 | $13,860 |
Equinix Inc. | 16,610 | +1,038 | $13,709 |
EQIX | 16,610 | +1,038 | $13,709 |
Global Payments Inc. | 101,166 | +5,340 | $13,522 |
GPN | 101,166 | +5,340 | $13,522 |
TELUS Corp. | 333,576 | +545 | $5,340 |
TU | 333,576 | +545 | $5,340 |
BCE Inc. | 146,588 | -38 | $4,985 |
BCE | 146,588 | -38 | $4,985 |
US Bancorp | 38,031 | +1,090 | $1,700 |
USB | 38,031 | +1,090 | $1,700 |
Bank of America Corp. | 11,165 | -804,490 | $423 |
BAC | 11,165 | -804,490 | $423 |
Fortis Inc. Canada | 10,115 | +925 | $400 |
FTS | 10,115 | +925 | $400 |
Microsoft Corp. | 902 | -121 | $379 |
MSFT | 902 | -121 | $379 |
Electronic Arts Inc. | 2,445 | +385 | $324 |
EA | 2,445 | +385 | $324 |
Amgen Inc. | 1,000 | UNCH | $284 |
AMGN | 1,000 | UNCH | $284 |
Apple Inc. | 1,325 | UNCH | $227 |
AAPL | 1,325 | UNCH | $227 |
Texas Instruments Inc | 1,200 | +1,200 | $209 |
TXN | 1,200 | +1,200 | $209 |
Cisco Systems Inc. | $0 (exited) | ||
CSCO | 0 | -7,500 | $0 |
Rogers Communications Inc. C | 0 | -7,275 | $0 (exited) |
RCI | 0 | -7,275 | $0 |
See Summary: Cardinal Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Cardinal Capital Management Inc.
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
APD | +116,775 | +$28,291 |
NXPI | +97,904 | +$24,258 |
TXN | +1,200 | +$209 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
CSCO | -7,500 | -$379 |
RCI | -7,275 | -$342 |
Entity | Shares/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 |
Entity | Shares/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 |