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Dixon Mitchell Investment Counsel Inc.

CIK 1993485 · 2024-Q3 · 1 filing(s)

Total Portfolio Value

$2.2T

Positions

91

Latest Filing

2024-Q3

Due Diligence Score

Institutional quality assessment based on 13F data

D

35 / 100

Filing Longevity1/30

1 quarters of history

Portfolio Breadth2/25

91 positions

Equity Purity20/20

0 options positions (0.0%)

Concentration Balance12/25

Top-5 = 25.3% of portfolio

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AI Portfolio Analysis

Claude-powered institutional analyst commentary

Portfolio Profile

Relative positioning across key dimensions (0–100)

Top Holdings by Value

Top 30 positions by value

#IssuerClassCUSIPValueShares% PortfolioType
1
NEWAlphabet Inc
COM02079K305$129.7B782,0645.90%EQ
2
NEWVisa Inc
COM92826C839$110.8B403,0955.04%EQ
3
NEWIntercontinental Exchange Inc
COM45866F104$107.3B667,0234.88%EQ
4
NEWBerkshire Hathaway Inc
COM084670702$106.0B230,3554.82%EQ
5
NEWRoyal Bank of Canada
COM780087102$102.2B817,8384.65%EQ
6
NEWBrookfield Corp
COM11271J107$93.4B1,757,0354.25%EQ
7
NEWToronto-Dominion Bank/The
COM891160509$91.9B1,452,4934.18%EQ
8
NEWMicrosoft Corp
COM594918104$85.7B199,1123.90%EQ
9
NEWTFI International Inc
COM87241L109$74.2B539,8153.38%EQ
10
NEWLowe's Cos Inc
COM548661107$68.5B253,0363.12%EQ
11
NEWAMETEK Inc
COM031100100$67.1B390,3283.05%EQ
12
NEWCanadian Natural Resources Ltd
COM136385101$64.6B1,922,0172.94%EQ
13
NEWCanadian National Railway Co
COM136375102$56.3B479,9352.56%EQ
14
NEWAmazon.com Inc
COM023135106$56.2B301,7772.56%EQ
15
NEWiShares Core MSCI EAFE ETF
COM46432F842$56.2B720,1782.56%EQ
16
NEWBrookfield Infrastructure Part
COMG16252101$55.8B1,587,5482.54%EQ
17
NEWDomino's Pizza Inc
COM25754A201$52.9B122,7472.41%EQ
18
NEWApple Inc
COM037833100$52.6B225,6642.39%EQ
19
NEWTexas Instruments Inc
COM882508104$51.7B250,4222.35%EQ
20
NEWThermo Fisher Scientific Inc
COM883556102$49.1B79,2732.23%EQ
21
NEWMethanex Corp
COM59151K108$49.0B1,182,1682.23%EQ
22
NEWWheaton Precious Metals Corp
COM962879102$48.4B791,2522.20%EQ
23
NEWRoper Technologies Inc
COM776696106$48.0B86,2842.18%EQ
24
NEWBank of Nova Scotia/The
COM064149107$40.5B743,1411.84%EQ
25
NEWDanaher Corp
COM235851102$36.6B131,4401.66%EQ
26
NEWThomson Reuters Corp
COM884903808$34.8B203,7351.58%EQ
27
NEWCarlisle Cos Inc
COM142339100$32.0B71,0651.45%EQ
28
NEWMiddleby Corp/The
COM596278101$31.3B225,2101.43%EQ
29
NEWJPMorgan Chase & Co
COM46625H100$30.6B144,9321.39%EQ
30
NEWComcast Corp
COM20030N101$30.2B722,1961.37%EQ
31
NEWNetflix Inc
COM64110L106$29.6B41,7661.35%EQ
32
NEWOracle Corp
COM68389X105$29.0B170,4611.32%EQ
33
NEWCanadian Pacific Kansas City L
COM13646K108$22.3B260,4371.02%EQ
34
NEWHCA Healthcare Inc
COM40412C101$20.9B51,4110.95%EQ
35
NEWMastercard Inc
COM57636Q104$18.4B37,2290.84%EQ
36
NEWZoetis Inc
COM98978V103$17.0B86,7640.77%EQ
37
NEWBooking Holdings Inc
COM09857L108$16.9B4,0000.77%EQ
38
NEWManulife Financial Corp
COM56501R106$16.3B550,2260.74%EQ
39
NEWShopify Inc
COM82509L107$16.2B202,5270.74%EQ
40
NEWTopBuild Corp
COM89055F103$15.5B38,2130.71%EQ
41
NEWColliers International Group I
COM194693107$13.1B86,0110.59%EQ
42
NEWWaste Connections Inc
COM94106B101$12.4B69,0400.56%EQ
43
NEWFortinet Inc
COM34959E109$10.1B130,4590.46%EQ
44
NEWATS Corp
COM00217Y104$9.8B336,5250.44%EQ
45
NEWTriple Flag Precious Metals Co
COM89679M104$9.1B563,9890.42%EQ
46
NEWNutrien Ltd
COM67077M108$8.9B185,5680.41%EQ
47
NEWS&P Global Inc
COM78409V104$8.4B16,2150.38%EQ
48
NEWRogers Communications Inc
COM775109200$6.2B152,0420.28%EQ
49
NEWAlphabet Inc
COM02079K107$1.4B8,0860.06%EQ
50
NEWInvesco QQQ Trust Series 1
COM46090E103$518.6M1,0610.02%EQ
51
NEWARK Innovation ETF
COM00214Q104$306.5M6,4480.01%EQ
52
NEWSuncor Energy Inc
COM867224107$298.4M8,0750.01%EQ
53
NEWSPDR S&P 500 ETF Trust
COM78462F103$238.8M4150.01%EQ
54
NEWBank of Montreal
COM063671101$218.3M2,4160.01%EQ
55
NEWiShares Core U.S. Aggregate Bo
COM464287226$190.8M1,8840.01%EQ
56
NEWiShares 0-3 Month Treasury Bon
COM46436E718$148.3M1,4720.01%EQ
57
NEWiShares S&P 100 ETF
COM464287101$124.5M4500.01%EQ
58
NEWCoca-Cola Co/The
COM191216100$110.0M1,5210.01%EQ
59
NEWiShares Core S&P Mid-Cap ETF
COM464287507$109.1M1,7500.00%EQ
60
NEWWest Fraser Timber Co Ltd
COM952845105$97.9M1,0000.00%EQ
61
NEWBaytex Energy Corp
COM07317Q105$95.9M31,9000.00%EQ
62
NEWTC Energy Corp
COM87807B107$76.5M1,5830.00%EQ
63
NEWiShares MSCI India ETF
COM46429B598$64.4M1,1000.00%EQ
64
NEWVanguard Short-Term Bond ETF
COM921937827$55.6M7070.00%EQ
65
NEWCVS Health Corp
COM126650100$52.9M8420.00%EQ
66
NEWVanguard Small-Cap Value ETF
COM922908611$47.2M2350.00%EQ
67
NEWDR Horton Inc
COM23331A109$46.7M2450.00%EQ
68
NEWVanguard High Dividend Yield E
COM921946406$46.2M3600.00%EQ
69
NEWLightspeed Commerce Inc
COM53229C107$41.3M2,5000.00%EQ
70
NEWVanguard FTSE All-World ex-US
COM922042775$37.8M6000.00%EQ
71
NEWBCE Inc
COM05534B760$35.5M1,0000.00%EQ
72
NEWVanguard Consumer Discretionar
COM92204A108$29.0M850.00%EQ
73
NEWVanguard Health Care ETF
COM92204A504$28.3M1000.00%EQ
74
NEWVeren Inc
COM92340V107$27.8M4,5090.00%EQ
75
NEWFortive Corp
COM34959J108$25.7M3260.00%EQ
76
NEWGildan Activewear Inc
COM375916103$25.4M5400.00%EQ
77
NEWFortis Inc/Canada
COM349553107$23.2M5110.00%EQ
78
NEWVanguard Financials ETF
COM92204A405$22.1M2000.00%EQ
79
NEWGrayscale Bitcoin Trust BTC
COM389637109$21.5M4250.00%EQ
80
NEWCameco Corp
COM13321L108$16.7M3500.00%EQ
81
NEWVanguard Mega Cap Growth ETF
COM921910816$16.1M500.00%EQ
82
NEWEnbridge Inc
COM29250N105$15.7M3870.00%EQ
83
NEWNuvei Corp
COM67079A102$15.2M4550.00%EQ
84
NEWBrookfield Renewable Partners
COMG16258108$14.8M5250.00%EQ
85
NEWVanguard Small-Cap Growth ETF
COM922908595$9.4M350.00%EQ
86
NEWOpen Text Corp
COM683715106$4.8M1450.00%EQ
87
NEWARK Genomic Revolution ETF
COM00214Q302$4.4M1700.00%EQ
88
NEWPOET Technologies Inc
COM73044W302$3.2M7200.00%EQ
89
NEWGrayscale Bitcoin Mini Trust B
COM389930108$2.4M4250.00%EQ
90
NEWMogo Inc
COM60800C208$844K7130.00%EQ
91
NEWGE HealthCare Technologies Inc
COM36266G107$188K20.00%EQ
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