Nexus Investment Management ULC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 21, 2026, for the 2025 Q4 period, Nexus Investment Management ULC held in its portfolio 70 assets valued at $733,779,019 (i.e. $733.78M).

The most valuable assets in the portfolio included: Alphabet Inc., Class C ($64.96M), JPMorgan Chase & Co. ($61.01M), and Cisco Systems Inc. ($49.57M).

The chart below shows the top 10 valuable assets, and the table below shows the top 70 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Nexus Investment Management ULC Portfolio
Alphabet Inc., Class C
JPMorgan Chase & Co.
Cisco Systems Inc.
Citigroup Inc.
American Electric Power Company Inc.
Ross Stores Inc.
Meta Platforms Inc.
Thermo Fisher Scientific Inc.
Dollar General Corporation
Microsoft Corporation
Nexus Investment Management ULC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Alphabet Inc., Class C 207020 64962876 COM
JPMorgan Chase & Co. 189336 61007846 COM
Cisco Systems Inc. 643507 49569344 COM
Citigroup Inc. 390203 45532788 COM
American Electric Power Company Inc. 393044 45321904 COM
Ross Stores Inc. 248172 44705704 COM
Meta Platforms Inc. 65662 43342830 COM
Thermo Fisher Scientific Inc. 67297 38995247 COM
Dollar General Corporation 284874 37822721 COM
Microsoft Corporation 75652 36586820 COM
Gilead Sciences Inc. 257824 31645318 COM
Medtronic PLC 293848 28227039 COM
Pfizer Inc. 991225 24681503 COM
Ferguson Enterprises Inc. 100321 22334464 COM
United Parcel Service Inc. 221491 21969692 COM
EOG Resources Inc. 208873 21933754 COM
Visa Inc. 59536 20879871 COM
Morgan Stanley 117027 20775803 COM
Texas Instruments Inc. 107091 18579218 COM
CarMax Inc. 452800 17496192 COM
Corning Inc. 74000 6479440 COM
Honeywell International Inc. 30474 5945173 COM
IShares MSCI EAFE ETF 36150 3471485 COM
Kroger Co 48565 3034341 COM
Union Pacific Corporation 11706 2707832 COM
Alphabet Inc. 6915 2164395 COM
Johnson & Johnson 9431 1951745 COM
Danaher Corporation 7355 1683707 COM
Chevron Corporation 7641 1164565 COM
Eli Lilly And Company 799 858669 COM
AbbVie Inc. 3456 789661 COM
Exxonmobil Corporation 5794 697250 COM
Verizon Communications 15610 635795 COM
CSX Corporation 15840 574200 COM
Exelon Corp 12857 560437 COM
AT&T Inc. 17210 427496 COM
Merck & Co Inc. 3735 393146 COM
T Rowe Price Group 3740 382901 COM
Solstice Advanced Materials Inc. 7616 369973 COM
Abbott Laboratories 2490 311972 COM
Bank Of America Corp 5350 294250 COM
Kimberly-Clark Corporation 2584 260700 COM
Procter & Gamble Co 1800 257958 COM
Edison International 3719 223214 COM
Vanguard FTSE Developed Markets ETF 3024 188909 COM
Biogen Inc. 920 161911 COM
FirstService Corporation 1000 155530 COM
Vanguard FTSE Emerging Markets ETF 2457 132088 COM
PRA Group Inc. 6450 114101 COM
Mastercard Inc. 195 111322 COM
Costco Wholesale Corporation 100 86234 COM
Oracle Corporation 400 77964 COM
Colgate - Palmolive Company 966 76333 COM
Newmont Corporation 650 64903 COM
Walmart Inc. 555 61833 COM
Bausch Health Companies Inc. 8500 59075 COM
Veralto Corporation 534 53283 COM
Franco-Nevada Corporation 250 51820 COM
Bristol-Myers Squibb Company 953 51405 COM
IShares Silver Trust 750 48315 COM
American Express 125 46244 COM
Barrick Mining Corp. 2300 43378 COM
Vaneck Junior Gold Miners ETF 350 39823 COM
Berkshire Hathaway Class B 61 30662 COM
Novartis AG-ADR 220 30331 COM
Becton Dickinson & Co 150 29111 COM
Pepsico Inc. 125 17940 COM
Accenture PLC 65 17440 COM
Apple Inc. 60 16312 COM
CB144A Appvion Esc Npv 1 1513 COM