Beutel, Goodman & Co Ltd. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 13, 2026, for the 2025 Q4 period, Beutel, Goodman & Co Ltd. held in its portfolio 174 assets valued at $16,278,315 (i.e. $16.28M).

The most valuable assets in the portfolio included: Toronto Dominion Bk ($756.17K), Royal Bank Cda ($668.09K), and Bank of Montreal ($648.98K).

The chart below shows the top 10 valuable assets, and the table below shows the top 174 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Beutel, Goodman & Co Ltd. Portfolio
Toronto Dominion Bk
Royal Bank Cda
Bank of Montreal
Chubb Limited
Medtronic PLC
Omnicom Group
Merck& Co Inc
PPG Industries
Manulife Fincl Corp
Ebay Inc
Beutel, Goodman & Co Ltd. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Toronto Dominion Bk 8012730 756174 Common
Royal Bank Cda 3913751 668085 ADR (2 ORD)
Bank of Montreal 4990717 648983 Common
Chubb Limited 1481216 462317 Common
Medtronic PLC 4731611 454518 Common
Omnicom Group 5624143 454149 Common
Merck& Co Inc 4062393 427607 Common
PPG Industries 3921122 401758 Common
Manulife Fincl Corp 11024527 400847 Common
Ebay Inc 4517362 393462 Common
Rogers Communications 10374584 392126 Common
Amgen Inc 1182453 387028 Common
Amdocs Ltd 4734354 381162 Ordinary
Restaurant Brands International 5548020 379082 Class B Non VTG
WABTEC CORP 1742919 372026 Common
CGI Group 4009805 370864 Cl A Sub Vtg
Nutrien 5997348 370669 Common
NetApp 3351445 358906 Common
Ameriprise Financial 725099 355545 Common
Gen Digital 13031328 354321 Common
TC Energy 6045999 333362 Common
Kimberly Clark Corp 3243674 327254 Common
Canadian Pacific Kansas City 4437890 327155 Common
Qualcomm 1900527 325085 Common
Comcast Corp 10478547 313203 Common
GFL Environmental 7172103 308493 Sub Vtg Shs
Elevance Health 817896 286713 Common
American Express Co 765136 283062 Common
RB Global 2717540 280149 Common
Cdn Natl Railway 2629511 260409 Common
Boyd Group Services 1571469 250643 Common
Colliers Intl 1601611 235716 Sub Vtg
Fortis Inc 4319468 224867 Common
Canadian Natural Resources Ltd. 6434851 218242 Common
Masco 3310790 210102 Common
CAE Inc 6679818 203403 Common
Sun Life Fncl Inc 3173364 198353 Common
Suncor Energy 4454906 197988 Common
Brookfield Corporation 4301067 197740 Cl A Ltd Vt Sh
Franco Nevada Corp 927474 192504 Common
Flowserve Corp 2703070 187538 Common
Open Text Corp 5567797 181565 Common
Applied Materials 701414 180256 Common
Cummins Inc 343643 175412 Common
The Campbells Company 6267644 174679 Common
ATS Corp 5837138 161008 Common
BlackRock 148127 158546 Common
SEI Investments 1882427 154396 Common
Carlyle Group 2435137 143940 Common
Harley Davidson Inc 6377492 130674 Common
Brookfield Asset Management 1936911 101596 Class A Ltd Vtg
Alamos Gold 2058525 79592 Class A
Cencora 199716 67454 Common
Triple Flag Precious Metals 1210840 40289 Common
Docebo 1566943 34853 Common
Eupraxia Pharmaceuticals 3709373 27926 Common
SPDR Portfolio S&P 500 Growth 252467 26972 ETF
Brookfield Business Partners 584663 20716 Unit LTD LP
Canadian Imperial Bk 199807 18137 Common
Bank of Nova Scotia 243554 17986 Common
Microsoft 31378 15175 Common
Emera 288413 14231 Common
Apple 45283 12310 Common
Brookfield Business Partners 330454 11824 Cl A Exc Sub Vtg
JPMorgan Chase & Co. 32125 10351 Common
Denison Mines Corp 3787059 10056 Common
Brookfield Renewable Partners 349407 9454 Partnership Unit
Pembina Pipeline Corp. 238706 9105 Common
Johnson & Johnson 41456 8579 Common
Johnson Controls International 69915 8372 SHS
Thomson Reuters Corp-NEW 60738 8025 Common
Cisco Systems 103085 7940 Common
Taiwan Semiconductor Manufacturing 23570 7162 Spons ADS
Agnico-Eagle Mines Ltd. 40337 6849 Common
Alphabet Inc. Cl A 16158 5057 Cap STK Cl A
Honeywell Intl. 24270 4734 Common
Magnum Ice Cream Company 287388 4555 Ord Shs
Accenture PLC Ireland 15520 4164 Shs Class A
iShares MSCI EAFE ETF 39652 3805 ETF
PepsiCo Inc 24750 3552 Common
Abbott Lab 26100 3270 Common
3M Company 20115 3220 Common
Enbridge Inc. 65066 3117 Common
Novo Nordisk ADR 60013 3053 ADR
Alphabet 9465 2970 Class C
Imperial Oil 33960 2937 Com New
Eaton Corporation PLC 9003 2867 SHS
Diageo PLC 32180 2776 Spons ADR New
CostCo Wholesale 3094 2668 Common
TELUS 201221 2655 Common
Novartis 18655 2571 Sponsored ADR
Cenovus Energy 139111 2356 Common
Sprott Physical Silver T/U 92500 2188 TR UNIT
Wal-Mart Stores 18423 2052 Common
Procter & Gamble 13795 1976 Common
Verizon Communications 45770 1864 Common
Walt Disney 16060 1827 Common
Thermo Fisher Scientific Inc. 2900 1680 Common
Algonquin Power & Utilities 262070 1613 Common
Wells Fargo 15115 1408 Common
Smith & Nephew 41545 1363 Common
Mondelez Int'l Inc. 'A' 25225 1357 CL A
Sprott Physical Gold T/U 39500 1303 UNIT
Altria Group 18000 1037 Common
Corning Inc. 11450 1002 Common
Emerson Electric 6730 893 Common
CVS Health 10940 868 Common
iShares Core S&P 500 ETF 1094 749 CORE S&P500 ETF
GSK PLC 14320 702 Spons ADR
Brookfield Renewable 14973 575 Cl A Ex Sub Vtg
Brookfield Infrastructure Partners L.P. 14977 520 LP INT UNIT
Somnigroup International 5635 503 Common
Unilever plc 7298 477 Spon ADR New
Health Care Select Sector SPDR 2842 439 SBI HEALTHCARE
Newmont Mining Corp. 4131 412 Common
Wheaton Precious Metals Corp. 3500 412 Common
Union Pacific Corp. 1775 410 Common
Chevron Corporation 2390 364 Common
Solstice Advanced Materials 5821 282 Com Shs
Invesco QQQ Trust 305 187 Unit Ser 1
BCE 7808 186 Com New
SAP SE ADR 750 182 Spons ADR
Waste Management Inc 800 175 Common
Exxon Mobil Corp. 1400 168 Common
Sherwin Williams Co. 500 162 Common
TJX companies 1000 153 Common
Berkshire Hathaway Inc. Cl. B 260 130 Cl B New
SPDR S&P 500 ETF Trust 180 122 ETF
Colgate Palmolive 1400 110 Common
Tesla Motors Inc. 225 101 Common
Amazon 431 99 Common
Morgan Stanley 500 88 Com New
Home Depot 181 62 Common
IBM Corp. 210 62 Common
Ecolab Inc. 200 52 Common
Visa Inc 145 50 COM CL A
Brookfield Infrastructure Corporation-NEW 1074 48 Com Sub Vtg A
Edison International 750 45 Common
Magna Intl Inc 800 42 Common
Western Copper & Gold Corp. 14790 39 Common
McDonald's Corp. 125 38 Common
iShares US Healthcare ETF 460 29 ETF
Bank of America Corp. 500 27 Common
iShares Select Dividend ETF 195 27 ETF
Pfizer Inc. 1100 27 Common
iShares MBS ETF 270 25 MBS ETF
Deere & Co. 50 23 Common
PNC Financial Services Group 100 20 Common
BHP Group 300 18 Spons ADS
Citigroup 150 17 Com New
KKR & CO Inc. 125 15 Common
NETFLIX Inc. 170 15 Common
TFI International 145 15 Common
UBER Technologies Inc. 190 15 Common
Invesco S&P 500 Equal Weight Energy ETF 175 13 ETF
Duke Energy Holding Corp. 100 11 Com New
Consolidated Edison 100 9 Common
Invesco Aerospace & Defense ETF 50 7 ETF
iShares Biotechnology ETF 45 7 ETF
Oneok Inc. 100 7 Common
Global X Cloud Computing ETF 270 6 ETF
Wabash National Corp. 700 6 Common
Starbucks Corp 70 5 Common
TE Connectivity Ltd. 25 5 Ord Shs
United Health Group Inc. 18 5 Common
Brookfield Wealth Solutions Ltd. 106 4 Cl A Exchangeab
MasterCard Incorporated 8 4 CL A
Meta Platforms 5 3 CL A
Methanex Corp. 95 3 Common
Solventum Corp 36 2 Com Shs
Enerflex Ltd. 100 1 Common
Consumer Staples Select Sector SPDR 10 0 SBI CONS STPLS
NeoGenomics Inc. 50 0 Com New
South Bow Corp. 10 0 Common