LINCLUDEN MANAGEMENT LTD - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 30, 2026, for the 2025 Q4 period, LINCLUDEN MANAGEMENT LTD held in its portfolio 71 assets valued at $1,177,068 (i.e. $1.18M).

The most valuable assets in the portfolio included: TORONTO DOMINION BK ONT ($107.29K), ROYAL BANK OF CANADA ($99.98K), and BANK NOVA SCOTIA HALIFAX ($67.94K).

The chart below shows the top 10 valuable assets, and the table below shows the top 71 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in LINCLUDEN MANAGEMENT LTD Portfolio
TORONTO DOMINION BK ONT
ROYAL BANK OF CANADA
BANK NOVA SCOTIA HALIFAX
BCE INC
TC ENERGY CORP.
CANADIAN NATIONAL RAILWAY CO
BROOKFIELD CORP
MAGNA INTL INC
PEMBINA PIPELINE CORP.
NUTRIEN LTD.
LINCLUDEN MANAGEMENT LTD - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
TORONTO DOMINION BK ONT 829383 107289 COM NEW
ROYAL BANK OF CANADA 427261 99975 COM
BANK NOVA SCOTIA HALIFAX 671166 67942 COM
BCE INC 1885402 61728 COM
TC ENERGY CORP. 793599 59980 COM
CANADIAN NATIONAL RAILWAY CO 419122 56896 COM
BROOKFIELD CORP 763376 48108 CLA LTD VTSH
MAGNA INTL INC 642618 47020 COM
PEMBINA PIPELINE CORP. 894163 46756 COM
NUTRIEN LTD. 518869 43959 COM
RESTAURANT BRANDS INTL INC. 467154 43754 COM
CANADIAN IMPERIAL BANK OF COMMERCE 329398 40987 COM
MANULIFE FINL CORP COM 695123 34645 COM
TELUS CORP. 1821826 32957 COM
SUNCOR ENERGY INC 536309 32672 COM NEW
CANADIAN NAT RES LTD 673512 31312 COM
BROOKFIELD INFRAST PARTNERS 643160 30685 LP INT UNIT
BROOKFIELD RENEWABLE PARTNERS LP 575275 21337 PARTNERSHIP UNIT
CISCO SYSTEMS INC. 141007 10862 COM
FIRST SERVICE CORP 46898 10010 COM
ALPHABET INC. 31483 9854 CAP STK CL A
VERIZON COMMUNICATIONS 241578 9839 COM
PFIZER INC 389203 9691 COM
GRANITE REAL ESTATE INVT TR 112144 9163 TR UNIT NEW
DIAGEO PLC-SPONS ADR 99706 8602 SPON ADR NEW
COLLIERS INTL GROUP INC. 40891 8249 SUB VTG SHS
MICROSOFT CORP. 16997 8220 COM
LENNAR CORP 69917 7187 CL A
US BANCORP 132444 7067 COM NEW
BOYD GROUP SERVICES INC 31892 6972 COM
BANK OF AMERICA CORPORATION 126604 6963 COM
AMERICAN TOWER CORP 39510 6936 COM
JACOBS SOLUTIONS INC. 50397 6676 COM
SAP SE 27410 6658 SPON ADR
THERMO FISHER 11243 6515 COM
CGI INC 49716 6303 CL A SUB VTG
ING GROEP N V 208280 5832 SPON ADR
JPMORGAN & CHASE & CO COM 17687 5699 COM
GILDAN ACTIVEWEAR INC 62103 5328 COM
ROGERS COMMUNICATIONS INC 99632 5162 CL B
CORNING INC. 58455 5118 COM
MORGAN STANLEY 26422 4691 COM
WALMART INC 41755 4652 COM
CITIGROUP INC. 39216 4576 COM
EOG RESOURCES 40739 4568 COM
COSTCO WHOLESALE 5058 4362 COM
UNITEDHEALTH GROUP INC COM 13099 4324 COM
RMR GROUP INC. 290000 4321 CL A
HOME DEPOT 12544 4316 COM
FEDERAL REALTY INVT TR 39591 3991 SH BEN INT NEW
DISNEY WALT CO 37955 3986 COM
TERRENO REALTY CORP. 62157 3649 COM
WELLTOWER INC. 19273 3577 COM
SANOFI SA 73340 3554 ADR
GSK PLC 100877 3533 SPONSORED ADR
TJX COMPANIES INC. 20232 3108 COM
ULTA BEAUTY INC. 5133 3106 COM
GENTEX CORP. 132523 3084 PUT
SHELL PLC 40518 2977 SPON ADR
BROOKFIELD RENEWABLE 56486 2974 CL A EX SUB VTG
EQUINIX INC. 3800 2911 COM
AVALONBAY CMNTYS INC. 14565 2640 COM
TRACTOR SUPPLY CO 51985 2600 COM
JOHNSON & JOHNSON 11615 2404 COM
EXTRA SPACE STORAGE INC. 16794 2187 COM
SIMON PPTY GROUP NEW 10519 1947 COM
KB HOME 32730 1846 COM
TOTAL ENERGIES SE 27414 1793 SPON ADR
AMERICAN HEALTHCARE REIT INC 37595 1769 COM
SUN CMNTYS INC 13407 1661 COM
BXP INC. 15598 1053 COM