Universe · entity
Beutel, Goodman & Co Ltd.
Institutional manager (13F) · CIK 1361974
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $14M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Toronto Dominion Bk | $687k | 7,383,692 |
| 2 | Royal Bank Cda | $581k | 3,605,831 |
| 3 | Bank of Montreal | $419k | 3,101,868 |
| 4 | WABTEC CORP | $412k | 1,648,944 |
| 5 | PPG Industries | $397k | 3,712,117 |
| 6 | Ebay Inc | $389k | 4,277,227 |
| 7 | Medtronic PLC | $387k | 4,469,174 |
| 8 | Chubb Limited | $377k | 1,157,024 |
| 9 | Restaurant Brands International | $376k | 5,098,410 |
| 10 | NetApp | $373k | 3,642,465 |
| 11 | Merck& Co Inc | $364k | 3,029,891 |
| 12 | Rogers Communications | $364k | 9,491,032 |
| 13 | Manulife Fincl Corp | $347k | 10,117,802 |
| 14 | Amdocs Ltd | $345k | 5,284,195 |
| 15 | Canadian Pacific Kansas City | $323k | 4,111,721 |
| 16 | Omnicom Group | $311k | 4,128,466 |
| 17 | Qualcomm | $310k | 2,408,283 |
| 18 | Ameriprise Financial | $293k | 659,562 |
| 19 | Nutrien | $279k | 3,701,225 |
| 20 | GFL Environmental | $276k | 6,637,498 |
| 21 | Comcast Corp | $274k | 9,535,358 |
| 22 | CGI Group | $272k | 3,731,273 |
| 23 | Suncor Energy | $269k | 4,086,562 |
| 24 | Elevance Health | $260k | 886,724 |
| 25 | Union Pacific Corp. | $259k | 1,066,009 |
| 26 | Cdn Natl Railway | $248k | 2,415,690 |
| 27 | TC Energy | $236k | 3,778,289 |
| 28 | Brookfield Asset Management | $230k | 5,189,113 |
| 29 | Amgen Inc | $228k | 649,319 |
| 30 | Fortis Inc | $221k | 3,972,034 |
| 31 | Boyd Group Services | $219k | 1,723,423 |
| 32 | Colliers Intl | $217k | 2,032,428 |
| 33 | American Express Co | $201k | 664,522 |
| 34 | Gen Digital | $196k | 10,387,394 |
| 35 | Canadian Natural Resources Ltd. | $195k | 4,011,532 |
| 36 | Masco | $191k | 3,166,441 |
| 37 | Gildan Activewear | $190k | 3,418,154 |
| 38 | Sun Life Fncl Inc | $182k | 2,907,092 |
| 39 | Kimberly Clark Corp | $178k | 1,841,866 |
| 40 | Cummins Inc | $174k | 323,652 |
| 41 | RB Global | $165k | 1,724,806 |
| 42 | Wells Fargo | $163k | 2,048,015 |
| 43 | CAE Inc | $162k | 6,228,487 |
| 44 | Brookfield Corporation | $161k | 3,977,934 |
| 45 | ATS Corp | $153k | 5,454,749 |
| 46 | Applied Materials | $152k | 444,766 |
| 47 | Becton Dickinson & Co | $151k | 963,199 |
| 48 | Franco Nevada Corp | $148k | 601,308 |
| 49 | Flowserve Corp | $148k | 2,007,525 |
| 50 | SEI Investments | $139k | 1,773,154 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.