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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
| # | Issuer | Class | CUSIP | Value | Shares | % Portfolio | Type |
|---|---|---|---|---|---|---|---|
| 1 | NEWAlphabet Inc | COM | 02079K305 | $129.7B | 782,064 | 5.90% | EQ |
| 2 | NEWVisa Inc | COM | 92826C839 | $110.8B | 403,095 | 5.04% | EQ |
| 3 | NEWIntercontinental Exchange Inc | COM | 45866F104 | $107.3B | 667,023 | 4.88% | EQ |
| 4 | NEWBerkshire Hathaway Inc | COM | 084670702 | $106.0B | 230,355 | 4.82% | EQ |
| 5 | NEWRoyal Bank of Canada | COM | 780087102 | $102.2B | 817,838 | 4.65% | EQ |
| 6 | NEWBrookfield Corp | COM | 11271J107 | $93.4B | 1,757,035 | 4.25% | EQ |
| 7 | NEWToronto-Dominion Bank/The | COM | 891160509 | $91.9B | 1,452,493 | 4.18% | EQ |
| 8 | NEWMicrosoft Corp | COM | 594918104 | $85.7B | 199,112 | 3.90% | EQ |
| 9 | NEWTFI International Inc | COM | 87241L109 | $74.2B | 539,815 | 3.38% | EQ |
| 10 | NEWLowe's Cos Inc | COM | 548661107 | $68.5B | 253,036 | 3.12% | EQ |
| 11 | NEWAMETEK Inc | COM | 031100100 | $67.1B | 390,328 | 3.05% | EQ |
| 12 | NEWCanadian Natural Resources Ltd | COM | 136385101 | $64.6B | 1,922,017 | 2.94% | EQ |
| 13 | NEWCanadian National Railway Co | COM | 136375102 | $56.3B | 479,935 | 2.56% | EQ |
| 14 | NEWAmazon.com Inc | COM | 023135106 | $56.2B | 301,777 | 2.56% | EQ |
| 15 | NEWiShares Core MSCI EAFE ETF | COM | 46432F842 | $56.2B | 720,178 | 2.56% | EQ |
| 16 | NEWBrookfield Infrastructure Part | COM | G16252101 | $55.8B | 1,587,548 | 2.54% | EQ |
| 17 | NEWDomino's Pizza Inc | COM | 25754A201 | $52.9B | 122,747 | 2.41% | EQ |
| 18 | NEWApple Inc | COM | 037833100 | $52.6B | 225,664 | 2.39% | EQ |
| 19 | NEWTexas Instruments Inc | COM | 882508104 | $51.7B | 250,422 | 2.35% | EQ |
| 20 | NEWThermo Fisher Scientific Inc | COM | 883556102 | $49.1B | 79,273 | 2.23% | EQ |
| 21 | NEWMethanex Corp | COM | 59151K108 | $49.0B | 1,182,168 | 2.23% | EQ |
| 22 | NEWWheaton Precious Metals Corp | COM | 962879102 | $48.4B | 791,252 | 2.20% | EQ |
| 23 | NEWRoper Technologies Inc | COM | 776696106 | $48.0B | 86,284 | 2.18% | EQ |
| 24 | NEWBank of Nova Scotia/The | COM | 064149107 | $40.5B | 743,141 | 1.84% | EQ |
| 25 | NEWDanaher Corp | COM | 235851102 | $36.6B | 131,440 | 1.66% | EQ |
| 26 | NEWThomson Reuters Corp | COM | 884903808 | $34.8B | 203,735 | 1.58% | EQ |
| 27 | NEWCarlisle Cos Inc | COM | 142339100 | $32.0B | 71,065 | 1.45% | EQ |
| 28 | NEWMiddleby Corp/The | COM | 596278101 | $31.3B | 225,210 | 1.43% | EQ |
| 29 | NEWJPMorgan Chase & Co | COM | 46625H100 | $30.6B | 144,932 | 1.39% | EQ |
| 30 | NEWComcast Corp | COM | 20030N101 | $30.2B | 722,196 | 1.37% | EQ |
| 31 | NEWNetflix Inc | COM | 64110L106 | $29.6B | 41,766 | 1.35% | EQ |
| 32 | NEWOracle Corp | COM | 68389X105 | $29.0B | 170,461 | 1.32% | EQ |
| 33 | NEWCanadian Pacific Kansas City L | COM | 13646K108 | $22.3B | 260,437 | 1.02% | EQ |
| 34 | NEWHCA Healthcare Inc | COM | 40412C101 | $20.9B | 51,411 | 0.95% | EQ |
| 35 | NEWMastercard Inc | COM | 57636Q104 | $18.4B | 37,229 | 0.84% | EQ |
| 36 | NEWZoetis Inc | COM | 98978V103 | $17.0B | 86,764 | 0.77% | EQ |
| 37 | NEWBooking Holdings Inc | COM | 09857L108 | $16.9B | 4,000 | 0.77% | EQ |
| 38 | NEWManulife Financial Corp | COM | 56501R106 | $16.3B | 550,226 | 0.74% | EQ |
| 39 | NEWShopify Inc | COM | 82509L107 | $16.2B | 202,527 | 0.74% | EQ |
| 40 | NEWTopBuild Corp | COM | 89055F103 | $15.5B | 38,213 | 0.71% | EQ |
| 41 | NEWColliers International Group I | COM | 194693107 | $13.1B | 86,011 | 0.59% | EQ |
| 42 | NEWWaste Connections Inc | COM | 94106B101 | $12.4B | 69,040 | 0.56% | EQ |
| 43 | NEWFortinet Inc | COM | 34959E109 | $10.1B | 130,459 | 0.46% | EQ |
| 44 | NEWATS Corp | COM | 00217Y104 | $9.8B | 336,525 | 0.44% | EQ |
| 45 | NEWTriple Flag Precious Metals Co | COM | 89679M104 | $9.1B | 563,989 | 0.42% | EQ |
| 46 | NEWNutrien Ltd | COM | 67077M108 | $8.9B | 185,568 | 0.41% | EQ |
| 47 | NEWS&P Global Inc | COM | 78409V104 | $8.4B | 16,215 | 0.38% | EQ |
| 48 | NEWRogers Communications Inc | COM | 775109200 | $6.2B | 152,042 | 0.28% | EQ |
| 49 | NEWAlphabet Inc | COM | 02079K107 | $1.4B | 8,086 | 0.06% | EQ |
| 50 | NEWInvesco QQQ Trust Series 1 | COM | 46090E103 | $518.6M | 1,061 | 0.02% | EQ |
| 51 | NEWARK Innovation ETF | COM | 00214Q104 | $306.5M | 6,448 | 0.01% | EQ |
| 52 | NEWSuncor Energy Inc | COM | 867224107 | $298.4M | 8,075 | 0.01% | EQ |
| 53 | NEWSPDR S&P 500 ETF Trust | COM | 78462F103 | $238.8M | 415 | 0.01% | EQ |
| 54 | NEWBank of Montreal | COM | 063671101 | $218.3M | 2,416 | 0.01% | EQ |
| 55 | NEWiShares Core U.S. Aggregate Bo | COM | 464287226 | $190.8M | 1,884 | 0.01% | EQ |
| 56 | NEWiShares 0-3 Month Treasury Bon | COM | 46436E718 | $148.3M | 1,472 | 0.01% | EQ |
| 57 | NEWiShares S&P 100 ETF | COM | 464287101 | $124.5M | 450 | 0.01% | EQ |
| 58 | NEWCoca-Cola Co/The | COM | 191216100 | $110.0M | 1,521 | 0.01% | EQ |
| 59 | NEWiShares Core S&P Mid-Cap ETF | COM | 464287507 | $109.1M | 1,750 | 0.00% | EQ |
| 60 | NEWWest Fraser Timber Co Ltd | COM | 952845105 | $97.9M | 1,000 | 0.00% | EQ |
| 61 | NEWBaytex Energy Corp | COM | 07317Q105 | $95.9M | 31,900 | 0.00% | EQ |
| 62 | NEWTC Energy Corp | COM | 87807B107 | $76.5M | 1,583 | 0.00% | EQ |
| 63 | NEWiShares MSCI India ETF | COM | 46429B598 | $64.4M | 1,100 | 0.00% | EQ |
| 64 | NEWVanguard Short-Term Bond ETF | COM | 921937827 | $55.6M | 707 | 0.00% | EQ |
| 65 | NEWCVS Health Corp | COM | 126650100 | $52.9M | 842 | 0.00% | EQ |
| 66 | NEWVanguard Small-Cap Value ETF | COM | 922908611 | $47.2M | 235 | 0.00% | EQ |
| 67 | NEWDR Horton Inc | COM | 23331A109 | $46.7M | 245 | 0.00% | EQ |
| 68 | NEWVanguard High Dividend Yield E | COM | 921946406 | $46.2M | 360 | 0.00% | EQ |
| 69 | NEWLightspeed Commerce Inc | COM | 53229C107 | $41.3M | 2,500 | 0.00% | EQ |
| 70 | NEWVanguard FTSE All-World ex-US | COM | 922042775 | $37.8M | 600 | 0.00% | EQ |
| 71 | NEWBCE Inc | COM | 05534B760 | $35.5M | 1,000 | 0.00% | EQ |
| 72 | NEWVanguard Consumer Discretionar | COM | 92204A108 | $29.0M | 85 | 0.00% | EQ |
| 73 | NEWVanguard Health Care ETF | COM | 92204A504 | $28.3M | 100 | 0.00% | EQ |
| 74 | NEWVeren Inc | COM | 92340V107 | $27.8M | 4,509 | 0.00% | EQ |
| 75 | NEWFortive Corp | COM | 34959J108 | $25.7M | 326 | 0.00% | EQ |
| 76 | NEWGildan Activewear Inc | COM | 375916103 | $25.4M | 540 | 0.00% | EQ |
| 77 | NEWFortis Inc/Canada | COM | 349553107 | $23.2M | 511 | 0.00% | EQ |
| 78 | NEWVanguard Financials ETF | COM | 92204A405 | $22.1M | 200 | 0.00% | EQ |
| 79 | NEWGrayscale Bitcoin Trust BTC | COM | 389637109 | $21.5M | 425 | 0.00% | EQ |
| 80 | NEWCameco Corp | COM | 13321L108 | $16.7M | 350 | 0.00% | EQ |
| 81 | NEWVanguard Mega Cap Growth ETF | COM | 921910816 | $16.1M | 50 | 0.00% | EQ |
| 82 | NEWEnbridge Inc | COM | 29250N105 | $15.7M | 387 | 0.00% | EQ |
| 83 | NEWNuvei Corp | COM | 67079A102 | $15.2M | 455 | 0.00% | EQ |
| 84 | NEWBrookfield Renewable Partners | COM | G16258108 | $14.8M | 525 | 0.00% | EQ |
| 85 | NEWVanguard Small-Cap Growth ETF | COM | 922908595 | $9.4M | 35 | 0.00% | EQ |
| 86 | NEWOpen Text Corp | COM | 683715106 | $4.8M | 145 | 0.00% | EQ |
| 87 | NEWARK Genomic Revolution ETF | COM | 00214Q302 | $4.4M | 170 | 0.00% | EQ |
| 88 | NEWPOET Technologies Inc | COM | 73044W302 | $3.2M | 720 | 0.00% | EQ |
| 89 | NEWGrayscale Bitcoin Mini Trust B | COM | 389930108 | $2.4M | 425 | 0.00% | EQ |
| 90 | NEWMogo Inc | COM | 60800C208 | $844K | 713 | 0.00% | EQ |
| 91 | NEWGE HealthCare Technologies Inc | COM | 36266G107 | $188K | 2 | 0.00% | EQ |