Fund Holdings — Waratah Capital Advisors Ltd.

Total Portfolio Value
$1.30B
Total Bought
$618.67M
Total Sold
$448.52M
Net Transaction
+$170.15M
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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FEDERAL SIGNAL CORP(FSS)0360,200+360,200046,2823.56%+46,282
BROADCOM INC(AVGO)077,197+77,197029,1612.24%+29,161
TELEDYNE TECHNOLOGIES INC(TDY)33,57470,874+37,30020,31347,2663.63%+26,953
CHIPOTLE MEXICAN GRILL INC(CMG)0779,976+779,976026,5192.04%+26,519
AMAZON COM INC(AMZN)0107,937+107,937025,7261.98%+25,726
STANTEC INC(STN)64,700441,245+376,5455,59030,4062.34%+24,816
ASML HLDG NV
N Y REGISTRY SHS
1,32913,292+11,9631,75526,4442.03%+24,688
ARAMARK(ARMK)0370,785+370,785021,0981.62%+21,098
NVIDIA CORPORATION(NVDA)0103,208+103,208020,6511.59%+20,651
C H ROBINSON WORLDWIDE IN(CHRW)0102,215+102,215019,2511.48%+19,251
SENSIENT TECHNOLOGIES CORP(SXT)150,732241,237+90,50513,02929,7422.29%+16,713
STERLING INFRASTRUCTURE INC(STRL)019,370+19,370016,2581.25%+16,258
MICROSOFT CORP(MSFT)043,433+43,433016,2011.25%+16,201
IMPERIAL OIL LTD(IMO)0138,623+138,623015,5291.19%+15,529
MONSTER BEVERAGE CORP NEW(MNST)0157,783+157,783015,1661.17%+15,166
DESCARTES SYS GROUP INC(DSGX)1,189,4821,447,678+258,19685,119100,2377.70%+15,118
TFI INTERNATIONAL INC(TFII)0103,433+103,433014,8501.14%+14,850
PROPETRO HLDG CORP(PUMP)0963,358+963,358013,8151.06%+13,815
PAYCHEX INC(PAYX)0134,023+134,023013,1781.01%+13,178
TEXAS INSTRS INC(TXN)16,41950,303+33,8843,18814,9941.15%+11,806
NISOURCE INC(NI)376,424616,779+240,35517,56429,3282.25%+11,764
QUANTA SVCS INC18,34929,599+11,25010,07421,3121.64%+11,238
FLOOR & DECOR HLDGS INC(FND)9,565190,568+181,00348611,3120.87%+10,826
ARM HOLDINGS PLC030,070+30,070010,6620.82%+10,662
LOUISIANA PAC CORP(LPX)0130,743+130,743010,2840.79%+10,284
AMETEK INC77,196109,913+32,71716,54826,5922.04%+10,045
MODINE MFG CO(MOD)49,42275,084+25,66210,71020,0491.54%+9,339
EQUITY LIFESTYLE PROPERTIES(ELS)0130,438+130,43808,4070.65%+8,407
WASTE CONNECTIONS INC(WCN)044,122+44,12207,3550.57%+7,355
THOMSON REUTERS CORP(TRI)085,099+85,09906,9500.53%+6,950
IDEXX LABS INC(IDXX)71812,474+11,7564036,5670.50%+6,163
CARRIER GLOBAL CORPORATION(CARR)081,468+81,46805,9760.46%+5,976
VULCAN MATLS CO(VMC)020,203+20,20305,9600.46%+5,960
PROGRESSIVE CORP(PGR)024,367+24,36705,3230.41%+5,323
ELASTIC N V
ORD SHS
092,053+92,05305,2490.40%+5,249
BROWN & BROWN INC(BRO)077,951+77,95105,0010.38%+5,001
STARBUCKS CORP(SBUX)047,853+47,85304,8900.38%+4,890
TORONTO DOMINION BK ONT(TD)212,432203,254-9,17819,82224,6811.90%+4,859
SIRIUSXM HOLDINGS INC(SIRI)0160,836+160,83604,7510.37%+4,751
REGAL REXNORD CORPORATION(RRX)55,14461,469+6,32510,32614,6411.13%+4,315
COCA COLA CO(KO)045,765+45,76503,7190.29%+3,719
PAN AMERN SILVER CORP(PAAS)078,962+78,96203,5370.27%+3,537
ATS CORPORATION(ATS)223,983334,923+110,9406,3169,6390.74%+3,323
APOLLO GLOBAL MGMT INC(APO)026,443+26,44303,1280.24%+3,128
APA CORPORATION(APA)095,000+95,00003,0940.24%+3,094
EVERCORE INC(EVR)16,58123,408+6,8274,9507,9920.61%+3,043
ROYAL BK CDA(RY)83,14479,399-3,74513,45116,4331.26%+2,982
HOME DEPOT INC(HD)07,373+7,37302,6000.20%+2,600
TOLL BROTHERS INC(TOL)015,668+15,66802,5810.20%+2,581
PARK AEROSPACE CORP(PKE)060,416+60,41602,3050.18%+2,305
PROLOGIS INC.(PLD)46,69360,944+14,2516,1728,2560.63%+2,084
SUN CMNTYS INC(SUI)016,279+16,27901,9520.15%+1,952
OVINTIV INC(OVV)100,000148,671+48,6715,9367,8280.60%+1,892
FIRSTSERVICE CORP NEW32,67145,179+12,5084,5396,4200.49%+1,881
CHENIERE ENERGY INC(LNG)69,31990,018+20,69919,67021,5151.65%+1,845
BWX TECHNOLOGIES INC(BWXT)09,310+9,31001,8120.14%+1,812
CURTISS WRIGHT CORP(CW)13,31014,316+1,0069,06610,8480.83%+1,782
KARMAN HLDGS INC(KRMN)035,413+35,41301,7680.14%+1,768
ECHOSTAR CORP(ECHO)014,751+14,75101,4970.12%+1,497
MERCURY SYS INC(MRCY)012,222+12,22201,4950.11%+1,495
BUILDERS FIRSTSOURCE INC(BLDR)014,970+14,97001,3400.10%+1,340
SIGMA LITHIUM CORPORATION(SGML)269,114367,775+98,6613,3214,6520.36%+1,331
RTX CORPORATION(RTX)06,640+6,64001,2600.10%+1,260
S&P GLOBAL INC(SPGI)02,951+2,95101,2020.09%+1,202
VERISK ANALYTICS INC(VRSK)06,664+6,66401,1960.09%+1,196
EAGLE MATLS INC(EXP)05,064+5,06401,1390.09%+1,139
DUCOMMUN INC DEL(DCO)05,687+5,68701,0530.08%+1,053
HUNTINGTON INGALLS INDS INC(HII)03,721+3,72101,0410.08%+1,041
LIONSGATE STUDIOS CORP(LION)178,624178,62401,7132,7350.21%+1,022
AMER SPORTS INC(AS)312,511334,093+21,58210,28811,3060.87%+1,018
IES HOLDINGS INC(IESC)01,177+1,17708650.07%+865
AUTOMATIC DATA PROCESSING IN03,301+3,30107390.06%+739
AMPHENOL CORP02,551+2,55104500.03%+450
SERVICENOW INC(NOW)04,504+4,50404470.03%+447
MOOG INC(MOG-A)0910+91003860.03%+386
VENTURE GLOBAL INC(VG)023,227+23,22702590.02%+259
NEBIUS GROUP N.V.(NBIS)0840+84002320.02%+232
SLB LIMITED(SLB)100,000115,000+15,0005,1395,3460.41%+207
JPMORGAN CHASE & CO(JPM)823810-132422650.02%+23
NAVITAS SEMICONDUCTOR CORP(NVTS)22,1860-22,1861950—-195
ALDABRA 4 LQDTY OPP VEH INC
UNIT 12/23/2030
25,0000-25,0002490—-249
SHERWIN WILLIAMS CO(SHW)9650-9653090—-309
SPOTIFY TECHNOLOGY S A(SPOT)8710-8714220—-422
WESCO INTL INC(WCC)1,6420-1,6424490—-449
ATLAS LITHIUM CORP(ATLX)749,217749,21703,2592,7650.21%-494
SPROTT ASSET MANAGEMENT LP(PSLV)27,7770-27,7776770—-677
CANTOR EQUITY PARTNERS IV IN
SHS CL A
71,7210-71,7217310—-731
DIGITAL ASSET ACQUISITION CO(DAAQ)71,4410-71,4417320—-732
HCM III ACQUISITION CORP(HCMA)71,8620-71,8627370—-737
BOLD EAGLE ACQUISITION CORP(BEAG)70,2710-70,2717420—-742
AMERICAN EXCEPTIONALISM ACQU
ORD CL A
80,0620-80,0628670—-867
CANTOR EQUITY PARTNERS VI IN
CL A ORD SHS
86,4850-86,4858730—-873
CENOVUS ENERGY INC(CVE)1,072,1391,110,707+38,56828,44427,5572.12%-887
SPDR SERIES TRUST
ST STR SP REGBNK
17,9893,573-14,4161,1722670.02%-905
VINE HILL CAP INVTS CORP II
UNIT 11/25/2030
100,0000-100,0001,0000—-1,000
ANALOG DEVICES INC(ADI)3,3500-3,3501,0660—-1,066
AMERICAS GOLD AND SILVER COR(USAS)227,9430-227,9431,1900—-1,190
ESCO TECHNOLOGIES INC(ESE)4,3830-4,3831,2330—-1,233
CATERPILLAR INC(CAT)1,9280-1,9281,3660—-1,366
IDEX CORP(IEX)7,2440-7,2441,3730—-1,373
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Waratah Capital Advisors Ltd. — 13F Holdings — Q2 2026 | TickerTrail