Universe · entity

NICOLA WEALTH MANAGEMENT LTD.

Institutional manager (13F) · CIK 1734493
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $782M
#IssuerValueShares
1WASTE CONNECTIONS INC$34M208,600
2PEMBINA PIPELINE CORP$30M664,500
3SUN LIFE FINANCIAL INC.$25M394,400
4TOTALENERGIES SE$24M257,000
5AT&T INC$22M758,400
6VISA INC$21M71,000
7NVIDIA CORPORATION$21M123,000
8NETFLIX INC.$21M222,700
9UNION PAC CORP$21M87,000
10INTUITIVE SURGICAL INC$20M42,900
11LINDE PLC$20M39,800
12MICROSOFT CORP$20M53,060
13BROOKFIELD ASSET MANAGMT LTD$19M433,758
14META PLATFORMS INC$19M33,200
15BCE INC$18M729,000
16STANTEC INC$18M202,800
17AMAZON COM INC$17M83,800
18CANADIAN NATL RY CO$17M168,600
19TORONTO DOMINION BK ONT$17M183,802
20CANADIAN NAT RES LTD MED TER$16M336,100
21SYNOPSYS INC$16M40,700
22TAIWAN SEMICONDUCTOR MANUFAC$16M47,000
23SERVICENOW INC$16M151,500
24TELUS CORPORATION$16M1,223,219
25APPLE INC$15M61,000
26INFOSYS LTD$15M1,141,000
27HYATT HOTELS CORP$15M105,500
28DEERE & CO$15M26,100
29HDFC BANK LTD$13M538,000
30CROWN HLDGS INC$13M132,000
31WALMART INC$13M105,200
32ALPHABET INC$13M45,000
33COCA COLA CO$13M170,000
34TETRA TECH INC NEW$12M411,000
35TRANSFORCE INC$12M111,600
36FIRSTSERVICE CORP NEW$12M86,090
37PROLOGIS INC.$12M89,000
38BROADCOM INC$12M37,500
39CUBESMART$11M309,000
40MOODYS CORP$11M25,100
41ADOBE INC$11M44,200
42MSA SAFETY INC$11M65,375
43MOTOROLA SOLUTIONS INC$10M23,000
44GALLAGHER ARTHUR J & CO$9M42,900
45TJX COS INC NEW$9M56,000
46CGI INC$9M122,000
47IDEXX LABS INC$8M14,800
48AFFILIATED MANAGERS GROUP$8M29,000
49EDGEWELL PERSONAL CARE CO$7M308,200
50SANMINA CORP$6M50,100
All filings on EDGAR ↗

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