Universe · entity

Baskin Financial Services Inc.

Institutional manager (13F) · CIK 1511098
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1M
#IssuerValueShares
1Alphabet Inc. Class C$83k288,956
2Apple Inc.$74k292,543
3Costco Wholesale Corporation$64k64,278
4Brookfield Corporation$53k1,319,151
5Microsoft Corp.$53k142,718
6Visa Inc. Cls A$51k170,077
7Netflix Inc$50k522,313
8Amazon.com Inc$49k237,112
9Canadian Natural Resources$48k979,213
10Live Nation Entertainment Inc$47k308,527
11Waste Connections Inc C$$46k286,191
12TFI International Inc.$46k421,203
13Moody's Corp$46k104,813
14Taiwan Semiconductor Manufacturing Co$44k131,463
15Berkshire Hathaway B$41k85,606
16MSCI Inc$39k72,201
17Ferrari N.V.$38k112,099
18Stryker Corp$37k112,128
19Garmin Ltd$36k154,294
20FirstService Corp$35k250,301
21Domino's Pizza, Inc.$28k78,093
22TransDigm Group Inc$27k22,926
23Copart Inc.$25k760,384
24Restaurant Brands International$25k341,152
25Vanguard Short-Term Corporate Bond ETF$25k313,536
26Meta Platforms Inc.$23k39,486
27Fair Isaac Corporation$19k17,869
28Brookfield Asset Management Ltd$12k259,649
29Brookfield Infrast. Partners LP C$$11k305,880
30Royal Bank of Canada$10k60,553
31Pembina Pipeline Corp$8k176,495
32Coca-Cola Company$6k74,079
33Watsco Inc.$5k13,467
34Granite Real Estate Investment Trust$5k80,880
35Alphabet Inc. Class A$3k9,448
36TJX Companies Inc$2k11,080
37Brookfield Infrastructure Corp Sub VT$1k34,727
38Vanguard 0-3 Month Treasury Bill ETF$80010,577
39Toronto Dominion Bank$7237,744
40Mastercard Inc Class A$6901,380
41Bank of Montreal$6734,967
42Invesco QQQ Trust$6241,081
43JP Morgan Chase & Co$4591,562
44Enbridge Inc.$4458,200
45Celestica Inc$4231,500
46Nvidia Corp$4012,300
47Tesla Motors Inc$358962
48Fortis Inc.$3406,089
49Vanguard Total Bond Market ETF$2353,185
50Emera Inc.$2334,500
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.