Dixon Mitchell Investment Counsel Inc. - 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, Dixon Mitchell Investment Counsel Inc. held in its portfolio 144 assets valued at $3,031,836,242 (i.e. $3.03B).

The most valuable assets in the portfolio included: iShares Core MSCI EAFE ETF ($248.26M), Alphabet Inc ($173.33M), and Microsoft Corp ($156.80M).

The chart below shows the top 10 valuable assets, and the table below shows the top 144 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Dixon Mitchell Investment Counsel Inc. Portfolio
iShares Core MSCI EAFE ETF
Alphabet Inc
Microsoft Corp
Toronto-Dominion Bank/The
Royal Bank of Canada
Visa Inc
Thermo Fisher Scientific Inc
Intercontinental Exchange Inc
Berkshire Hathaway Inc
Wheaton Precious Metals Corp
Dixon Mitchell Investment Counsel Inc. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
iShares Core MSCI EAFE ETF 2775067 248257494 COM
Alphabet Inc 553014 173334459 COM
Microsoft Corp 323967 156797826 COM
Toronto-Dominion Bank/The 1602059 151243852 COM
Royal Bank of Canada 871668 148834232 COM
Visa Inc 384299 134931113 COM
Thermo Fisher Scientific Inc 210751 122245616 COM
Intercontinental Exchange Inc 705283 114312178 COM
Berkshire Hathaway Inc 219977 110708663 COM
Wheaton Precious Metals Corp 935270 109847234 COM
Brookfield Corp 2363922 108680915 COM
BOYD GROUP INC 620108 98975706 COM
TFI International Inc 905699 94193588 COM
Brookfield Infrastructure Part 2448770 85231115 COM
AMETEK Inc 401739 82481034 COM
Methanex Corp 2048214 81362958 COM
Canadian Natural Resources Ltd 2126037 73030518 COM
Amazon.com Inc 297440 68705881 COM
HEICO Corp 203825 65955732 COM
Roper Technologies Inc 147404 65646882 COM
Domino's Pizza Inc 132914 55401213 COM
Lowe's Cos Inc 212480 51296179 COM
Canadian National Railway Co 502525 49794774 COM
Texas Instruments Inc 257515 44716874 COM
Meta Platforms Inc 65190 43031267 COM
Danaher Corp 186417 42756038 COM
HCA Healthcare Inc 75803 35431406 COM
Apple Inc 124938 34027629 COM
JPMorgan Chase & Co 90589 29247265 COM
Descartes Systems Group Inc/Th 331971 29161137 COM
Carlisle Cos Inc 89714 28717031 COM
Thomson Reuters Corp 210645 27834491 COM
Fortinet Inc 340939 27073966 COM
Middleby Corp/The 151057 22476674 COM
Canadian Pacific Kansas City L 296953 21940402 COM
Waste Connections Inc 111967 19662737 COM
Triple Flag Precious Metals Co 563989 18766032 COM
Netflix Inc 187184 17555060 COM
Uber Technologies Inc 212170 17336411 COM
iShares MSCI ACWI ex U.S. ETF 254500 17084585 COM
TopBuild Corp 35028 14650461 COM
Mastercard Inc 24259 13875238 COM
Certara Inc 1546299 13622894 COM
Shopify Inc 82336 13274672 COM
Colliers International Group I 74011 10903706 COM
MercadoLibre Inc 4250 8560605 COM
Sea Ltd 47000 5995790 COM
ATS Corp 211025 5820795 COM
iShares Core U.S. Aggregate Bo 16497 1647720 COM
SPDR S&P 500 ETF Trust 1552 1061434 COM
Bank of Nova Scotia/The 9309 726463 COM
Manulife Financial Corp 14468 542007 COM
Micron Technology Inc 1842 525937 COM
Broadcom Inc 1495 517420 COM
Agnico Eagle Mines Ltd 3024 513490 COM
Bank of Montreal 3662 476200 COM
Eli Lilly & Co 408 438469 COM
Mongodb Inc Class A 1023 429343 COM
Nutrien Ltd 6542 407838 COM
Kinross Gold Corp 13857 390816 COM
Enbridge Inc 7821 383036 COM
NVIDIA Corp 1992 371508 COM
TC Energy Corp 6117 341070 COM
Sun Life Financial Inc 5301 331344 COM
First Horizon Corp 13410 322511 COM
Booking Holdings Inc 39 278477 COM
Walt Disney Co/The 2376 272100 COM
Cadence Design SYS Inc 813 254128 COM
Suncor Energy Inc 5184 230392 COM
Expand Energy Corporation 2046 225797 COM
TJX Cos Inc/The 1455 223503 COM
Aecom 2220 211633 COM
Advanced Drainage Systems Inc 1413 204645 COM
iShares 0-3 Month Treasury Bon 2038 204574 COM
T-Mobile US Inc 978 198573 COM
GE Vernova Inc 300 196071 COM
Alcon AG 2481 195528 COM
Intel Corp 5025 185423 COM
Take Two Interactive SFTWR Inc 705 180501 COM
UnitedHealth Group Inc 534 176279 COM
Marsh & McLennan Cos Inc 948 175873 COM
Oracle Corp 240 174444 COM
Advanced Micro Devices Inc 807 172827 COM
CGI Inc 1843 170458 COM
Bio-Rad Laboratories Inc 549 166342 COM
Apollo Global Management Inc 1113 161118 COM
Teck Resources Ltd 3156 151497 COM
Cameco Corp 1647 151009 COM
Aptiv PLC 1941 147691 COM
Autodesk Inc 498 147413 COM
ServiceNow Inc 960 147062 COM
Pembina Pipeline Corp 3851 147016 COM
Rivian Automotive Inc 7434 146524 COM
Ingersoll Rand Inc 1845 146161 COM
Parker-Hannifin Corp 159 139755 COM
Fortis Inc/Canada 2640 137436 COM
iShares S&P 100 ETF 399 136845 COM
Progressive Corp/The 592 134810 COM
SLB Ltd 3210 124115 COM
iShares Core S&P Mid-Cap ETF 1750 115500 COM
Devon Energy Corp 3027 110879 COM
BCE Inc 4164 100785 COM
Regal Rexnord Corporation 699 98328 COM
Pinterest Inc Class A 3285 85049 COM
CMS Energy Corp 1194 83496 COM
Dynatrace Inc 1878 81393 COM
Montrose Environmental Group 3033 75309 COM
Linde PLC 165 70354 COM
Zoetis Inc 541 68069 COM
Invesco QQQ Trust Series 1 109 66960 COM
RTS-Masco Corp 1050 66633 COM
Coca-Cola Co/The 910 63618 COM
Comcast Corp 1241 59660 COM
Msa Safety Inc 354 56690 COM
Vanguard Short-Term Bond ETF 707 55719 COM
Gildan Activewear Inc 322 33797 COM
Lightspeed Commerce Inc 2500 30202 COM
Grayscale Bitcoin Trust ETF 425 29053 COM
S&P Global Inc 3 18813 COM
Rogers Communications Inc 335 18181 COM
Franco-Nevada Corp 50 10378 COM
ARK Innovation ETF 127 9769 COM
Magnum Ice Cream Company 606 9605 COM
Open Text Corp 260 8479 COM
Amphenol Corp 45 6093 COM
Boston Scientific Corp 60 5721 COM
Asml Holding NV 5 5349 COM
Alamos Gold Inc 125 4833 COM
Crowdstrike Holdings Inc CL A 10 4688 COM
General Electric Co 15 4626 COM
Barrick Mining Corp 105 4580 COM
Magna International Inc 80 4270 COM
Brookfield Asset Management Lt 80 4196 COM
EQT Corp 75 4020 COM
Blackstone Inc 25 3853 COM
TELUS Corp 261 3524 COM
Grayscale Bitcoin Mini Trust E 85 3292 COM
Intuitive Surgical Inc 5 2832 COM
RTX Corp 15 2751 COM
Novo Nordisk A/S 50 2544 COM
WESCO International Inc 10 2446 COM
Cenovus Energy Inc 140 2372 COM
Leidos HLDGS Inc 10 1804 COM
Orion Digital Corp 713 775 COM