HoldingsChannel.com
All Stocks Held By Nexus Investment Management ULC
As of  03/31/2024, we find all stocks held by Nexus Investment Management ULC to be as follows, presented in the table below with each row detailing each Nexus Investment Management ULC position, ordered by largest to smallest position size. The all-stocks-held-by-Nexus Investment Management ULC 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 Nexus Investment Management ULC as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
JPMORGAN CHASE & CO 260,887 -910 $52,256
     JPM260,887-910$52,256
ROYAL BK CDA 509,004 +11,015 $51,376
     RY509,004+11,015$51,376
TORONTO DOMINION BK ONT 840,410 +45,560 $50,758
     TD840,410+45,560$50,758
META PLATFORMS INC 102,170 -934 $49,612
     META102,170-934$49,612
ROSS STORES INC 267,030 +125 $39,189
     ROST267,030+125$39,189
MICROSOFT CORP 90,655 +5 $38,140
     MSFT90,655+5$38,140
BANK NOVA SCOTIA HALIFAX 687,945 +32,900 $35,613
     BNS687,945+32,900$35,613
BROOKFIELD INFRAST PARTNERS 1,121,935 +2,495 $35,062
     BIP1,121,935+2,495$35,062
CISCO SYS INC 683,765 +29,700 $34,127
     CSCO683,765+29,700$34,127
AMERICAN ELEC PWR CO INC 389,730 +29,225 $33,556
     AEP389,730+29,225$33,556
CITIGROUP INC 521,520 -420 $32,981
     C521,520-420$32,981
ALPHABET INC 216,048 -50 $32,895
     GOOG216,048-50$32,895
CVS HEALTH CORP 410,542 +950 $32,745
     CVS410,542+950$32,745
CENOVUS ENERGY INC 1,608,600 +79,700 $32,183
     CVE1,608,600+79,700$32,183
EOG RES INC 245,311 +10,800 $31,361
     EOG245,311+10,800$31,361
CARMAX INC 351,088 +1,305 $30,583
     KMX351,088+1,305$30,583
DOLLAR GEN CORP NEW 191,800 +18,280 $29,932
     DG191,800+18,280$29,932
TELUS CORPORATION 1,841,818 +160,600 $29,487
     TU1,841,818+160,600$29,487
BOSTON SCIENTIFIC CORP 412,399 +2,500 $28,245
     BSX412,399+2,500$28,245
ENBRIDGE INC 776,812 +13,450 $28,093
     ENB776,812+13,450$28,093
UNITED PARCEL SERVICE INC 188,720 +18,515 $28,049
     UPS188,720+18,515$28,049
CAE INC 1,318,821 +139,400 $27,252
     CAE1,318,821+139,400$27,252
GENERAL MTRS CO 597,102 -14,000 $27,079
     GM597,102-14,000$27,079
SUNCOR ENERGY INC NEW 690,205 +9,850 $25,491
     SU690,205+9,850$25,491
TC ENERGY CORP 616,485 +2,750 $24,795
     TRP616,485+2,750$24,795
MAGNA INTL INC 426,607 +25,910 $23,257
     MGA426,607+25,910$23,257
PFIZER INC 833,846 +90,470 $23,139
     PFE833,846+90,470$23,139
GILEAD SCIENCES INC 289,478 -500 $21,204
     GILD289,478-500$21,204
MORGAN STANLEY 182,027 +10,686 $17,140
     MS182,027+10,686$17,140
MEDTRONIC PLC 193,504 +390 $16,864
     MDT193,504+390$16,864
TEXAS INSTRS INC 87,765 +87,765 $15,290
     TXN87,765+87,765$15,290
PRA GROUP INC 155,024 -451 $4,043
     PRAA155,024-451$4,043
CANADIAN IMPERIAL BK COMM TO 72,529 +563 $3,680
     CM72,529+563$3,680
BCE INC 106,258 UNCH $3,614
     BCE106,258UNCH$3,614
FORTIS INC 83,365 -14,500 $3,296
     FTS83,365-14,500$3,296
CORNING INC 99,600 +1,000 $3,283
     GLW99,600+1,000$3,283
FIRSTSERVICE CORP NEW 19,546 UNCH $3,239
     FSV19,546UNCH$3,239
DANAHER CORPORATION 12,432 UNCH $3,105
     DHR12,432UNCH$3,105
ALPHABET INC 18,173 -2 $2,743
     GOOGL18,173-2$2,743
UNION PAC CORP 10,710 +150 $2,634
     UNP10,710+150$2,634
ISHARES TR (EFA) 31,550 UNCH $2,520
     EFA31,550UNCH$2,520
KROGER CO 43,390 +1,600 $2,479
     KR43,390+1,600$2,479
OPEN TEXT CORP 63,130 UNCH $2,451
     OTEX63,130UNCH$2,451
VERIZON COMMUNICATIONS INC 45,900 UNCH $1,926
     VZ45,900UNCH$1,926
BANK MONTREAL QUE 16,844 +300 $1,646
     BMO16,844+300$1,646
CANADIAN NAT RES LTD 20,475 -650 $1,563
     CNQ20,475-650$1,563
CHEVRON CORP NEW 9,100 -100 $1,435
     CVX9,100-100$1,435
JOHNSON & JOHNSON 8,376 +700 $1,325
     JNJ8,376+700$1,325
PEMBINA PIPELINE CORP 35,500 +5,000 $1,254
     PBA35,500+5,000$1,254
BROOKFIELD CORP 29,216 -2,917 $1,223
     BN29,216-2,917$1,223
EXXON MOBIL CORP 9,155 UNCH $1,064
     XOM9,155UNCH$1,064
THOMSON REUTERS CORP. 5,635 UNCH $878
     TRI5,635UNCH$878
COSTCO WHSL CORP NEW 1,184 -100 $867
     COST1,184-100$867
PRICE T ROWE GROUP INC 7,100 UNCH $866
     TROW7,100UNCH$866
IMPERIAL OIL LTD 11,846 UNCH $818
     IMO11,846UNCH$818
ELI LILLY & CO 826 UNCH $643
     LLY826UNCH$643
ABBVIE INC 3,456 UNCH $629
     ABBV3,456UNCH$629
CSX CORP 15,840 UNCH $587
     CSX15,840UNCH$587
KINDER MORGAN INC DEL 32,000 +32,000 $587
     KMI32,000+32,000$587
AT&T INC 32,800 UNCH $577
     T32,800UNCH$577
CANADIAN NATL RY CO 3,900 UNCH $514
     CNI3,900UNCH$514
EXELON CORP 10,800 UNCH $406
     EXC10,800UNCH$406
DISCOVER FINL SVCS 3,043 UNCH $399
     DFS3,043UNCH$399
ABBOTT LABS 3,290 UNCH $374
     ABT3,290UNCH$374
VERALTO CORP 3,921 UNCH $348
     VLTO3,921UNCH$348
MERCK & CO INC 2,625 UNCH $346
     MRK2,625UNCH$346
WELLS FARGO CO NEW 5,500 -1,000 $319
     WFC5,500-1,000$319
KIMBERLY CLARK CORP 2,450 UNCH $317
     KMB2,450UNCH$317
VISA INC 1,098 UNCH $306
     V1,098UNCH$306
PROCTER AND GAMBLE CO 1,800 UNCH $292
     PG1,800UNCH$292
WESTERN DIGITAL CORP. 4,000 -410,363 $273
     WDC4,000-410,363$273
BROOKFIELD ASSET MANAGMT LTD 5,932 UNCH $249
     BAM5,932UNCH$249
BAUSCH HEALTH COS INC 23,300 UNCH $247
     BHC23,300UNCH$247
TFI INTL INC 1,500 UNCH $239
     TFII1,500UNCH$239
ROGERS COMMUNICATIONS INC 5,040 UNCH $207
     RCI5,040UNCH$207
BANK AMERICA CORP 5,350 +5,350 $203
     BAC5,350+5,350$203
BIOGEN INC 0 -920 $0 (exited)
     BIIB0-920$0

See Summary: Nexus Investment Management ULC Top Holdings
See Details: Top 10 Stocks Held By Nexus Investment Management ULC

EntityShares/Amount
Change
Position Value
Change
TXN +87,765+$15,290
KMI +32,000+$587
BAC +5,350+$203
EntityShares/Amount
Change
Position Value
Change
BIIB -920-$238
EntityShares/Amount
Change
Position Value
Change
TU +160,600-$527
CAE +139,400+$1,714
PFE +90,470+$1,737
CVE +79,700+$6,625
TD +45,560-$767
BNS +32,900+$3,625
CSCO +29,700+$1,084
AEP +29,225+$4,276
MGA +25,910-$494
UPS +18,515+$1,288
EntityShares/Amount
Change
Position Value
Change
WDC -410,363-$21,427
FTS -14,500-$743
GM -14,000+$5,128
BN -2,917-$70
WFC -1,000-$1
META -934+$13,117
JPM -910+$7,724
CNQ -650+$175
GILD -500-$2,287
Size ($ in 1000's)
At 03/31/2024: $1,037,768
At 12/31/2023: $958,692

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

All Stocks Held By Nexus Investment Management ULC | www.HoldingsChannel.com

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