Fund HoldingsDixon Mitchell Investment Counsel Inc.

Total Portfolio Value
$2.88B
Total Bought
$187.99M
Total Sold
$409.13M
Net Transaction
-$221.14M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Spotify Technology SA(SPOT)0112,044+112,044054,3311.89%+54,331
Methanex Corp(MEOH)2,048,2141,951,101-97,11381,363115,9614.03%+34,598
Triple Flag Precious Metals Co(TFPM)563,9891,235,887+671,89818,76642,7741.49%+24,008
Netflix Inc(NFLX)0396,354+396,354038,1141.33%+38,114
Cadence Design Systems Inc(CDNS)81367,473+66,66025418,7490.65%+18,495
Wheaton Precious Metals Corp(WPM)935,270929,304-5,966109,847121,8914.24%+12,043
Canadian Natural Resources Ltd(CNQ)2,126,0371,702,696-423,34173,03183,5642.91%+10,533
Uber Technologies Inc(UBER)212,170352,423+140,25317,33625,3500.88%+8,013
HDFC Bank Ltd(HDB)0263,000+263,00006,5430.23%+6,543
MercadoLibre Inc(MELI)4,2508,300+4,0508,56114,3510.50%+5,790
Grupo Aeroportuario del Pacifi(PAC)022,700+22,70005,6040.19%+5,604
Texas Instruments Inc(TXN)0255,104+255,104049,5711.72%+49,571
ICICI Bank Ltd(IBN)0164,000+164,00004,2480.15%+4,248
AMETEK Inc401,739399,784-1,95582,48185,6982.98%+3,217
Rio Tinto PLC(RIO)025,400+25,40002,3700.08%+2,370
TFI International Inc(TFII)905,699884,525-21,17494,19496,4083.35%+2,214
Brookfield Infrastructure Part
LP INT UNIT
2,448,7702,395,222-53,54885,23186,1392.99%+908
Carlisle Cos Inc(CSL)89,71488,652-1,06228,71729,5981.03%+881
Fortinet Inc(FTNT)0337,594+337,594027,5880.96%+27,588
iShares MSCI ACWI ex U.S. ETF254,500254,500017,08517,4260.61%+341
AstraZeneca PLC(AZN)01,206+1,20602380.01%+238
Capital One Finl Corp(COF)01,095+1,09502000.01%+200
HCA Healthcare Inc(HCA)75,80375,190-61335,43135,6261.24%+194
Sea Ltd(SE)47,00074,000+27,0005,9966,1280.21%+132
ATS Corp(ATS)211,025211,02505,8215,9290.21%+108
Suncor Energy Inc(SU)5,1845,019-1652303310.01%+101
Micron Technology Inc(MU)1,8421,84205266230.02%+97
Agnico Eagle Mines Ltd(AEM)3,0242,949-755135970.02%+83
GE Vernova Inc(GEV)30030001962620.01%+66
Enbridge Inc(ENB)7,8217,82103834320.02%+49
SLB Ltd(SLB)3,2103,21001241660.01%+42
Devon Energy Corp(DVN)3,0273,02701111520.01%+41
TC Energy Corp(TRP)6,1176,042-753413800.01%+39
Intel Corp(INTC)5,0255,02501852220.01%+36
Regal Rexnord Corporation(RRX)6996990981310.00%+33
Kinross Gold Corp(KGC)13,85713,85703914220.01%+31
Cameco Corp(CCJ)1,6471,64701511780.01%+27
Pembina Pipeline Corp(PBA)3,8513,756-951471680.01%+21
Bank of Montreal3,6623,612-504764880.02%+11
Linde PLC(LIN)165165070820.00%+11
Teck Resources Ltd(TECK)3,1563,15601511630.01%+11
SPDR Series TR State Stret ETF
ST STR P500ETF
0130+1300100.00%+10
Fortis Inc/Canada(FTS)2,6402,64001371470.01%+9
CMS Energy Corp(CMS)1,1941,194083930.00%+9
TJX Cos Inc/The(TJX)1,4551,45502242320.01%+9
T-Mobile US Inc(TMUS)97897801992050.01%+7
BCE Inc(BCE)4,1644,16401011060.00%+5
iShares Core S&P Mid-Cap ETF01,750+1,75001180.00%+118
iShares TR Russell 2500 ETF
RUSEL 2500 ETF
034+34030.00%+3
Parker-Hannifin Corp(PH)15915901401420.00%+3
Ingersoll Rand Inc(IR)1,8451,84501461480.01%+2
iShares MSCI EAFE Small-Cap ET020+20020.00%+2
Msa Safety Inc(MSA)354354057580.00%+1
iShares TR Core Universal ETF
CORE UNIVRSL USD
026+26010.00%+1
Versant Media Group CL A(VSNT)019+19010.00%+1
Orion Digital Corp0713+713010.00%+1
iShares TR ETF
BROAD USD HIGH
016+16010.00%+1
TELUS Corp(TU)0267+267040.00%+4
Vanguard Short-Term Bond ETF0707+7070550.00%+55
Sun Life Financial Inc(SLF)5,3015,30103313310.01%-0
Magnum Ice Cream Company(MICC)60660601090.00%-1
Grayscale Bitcoin Mini Trust E(BTC)085+85030.00%+3
Orion Digital Corp000000
ARK Innovation ETF
INNOVATION ETF
0127+127090.00%+9
Expand Energy Corporation(EXE)2,0462,04602262250.01%-1
Leidos HLDGS Inc(LDOS)000000
Cenovus Energy Inc(CVE)000000
WESCO International Inc(WCC)000000
Novo Nordisk A/S(NVO)000000
RTX Corp(RTX)000000
RTS-Masco Corp(MAS)1,0501,050067630.00%-3
S&P Global Inc(SPGI)03+30150.00%+15
Gildan Activewear Inc(GIL)0322+3220300.00%+30
Blackstone Inc(BX)000000
EQT Corp(EQT)000000
Invesco QQQ Trust Series 10109+1090630.00%+63
Brookfield Asset Management Lt(BAM)000000
Magna International Inc(MGA)000000
Barrick Mining Corp(B)000000
General Electric Co(GE)000000
Crowdstrike Holdings Inc CL A(CRWD)100-1050-5
Alamos Gold Inc1250-12550-5
Open Text Corp(OTEX)0145+145030.00%+3
Asml Holding NV
N Y REGISTRY SHS
50-550-5
Boston Scientific Corp(BSX)600-6060-6
Rogers Communications Inc(RCI)335175-16018120.00%-6
Amphenol Corp450-4560-6
Grayscale Bitcoin Trust ETF(GBTC)0425+4250220.00%+22
Lightspeed Commerce Inc(LSPD)02,500+2,5000220.00%+22
Alcon AG(ALC)2,4812,48101961870.01%-9
Advanced Micro Devices Inc(AMD)80780701731640.01%-9
Montrose Environmental Group3,0333,033075660.00%-9
Zoetis Inc(ZTS)0500+5000590.00%+59
iShares S&P 100 ETF0399+39901270.00%+127
iShares Core U.S. Aggregate Bo016,497+16,49701,6380.06%+1,638
Franco-Nevada Corp(FNV)500-50100-10
Advanced Drainage Systems Inc(WMS)1,4131,41302051940.01%-11
Marsh & McLennan Cos Inc(MRSH)94894801761640.01%-11
Dynatrace Inc(DT)1,8781,878081690.00%-12
Aptiv PLC(APTV)1,9411,94101481350.00%-13
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