NICOLA WEALTH MANAGEMENT LTD. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 9, 2026, for the 2025 Q4 period, NICOLA WEALTH MANAGEMENT LTD. held in its portfolio 65 assets valued at $1,098,960,742 (i.e. $1.10B).

The most valuable assets in the portfolio included: TC ENERGY CORP ($110.15M), BANK NOVA SCOTIA HALIFAX ($100.43M), and PEMBINA PIPELINE CORP ($37.64M).

The chart below shows the top 10 valuable assets, and the table below shows the top 65 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in NICOLA WEALTH MANAGEMENT LTD. Portfolio
TC ENERGY CORP
BANK NOVA SCOTIA HALIFAX
PEMBINA PIPELINE CORP
TORONTO DOMINION BK ONT
WASTE CONNECTIONS INC
MICROSOFT CORP
UNION PAC CORP
VISA INC
AMAZON COM INC
INTUITIVE SURGICAL INC
NICOLA WEALTH MANAGEMENT LTD. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
TC ENERGY CORP 2000000 110146828 COM
BANK NOVA SCOTIA HALIFAX 1361500 100429661 COM
PEMBINA PIPELINE CORP 987800 37637674 COM
TORONTO DOMINION BK ONT 363302 34245452 COM NEW
WASTE CONNECTIONS INC 185400 32514615 COM
MICROSOFT CORP 66560 32189747 COM
UNION PAC CORP 112000 25907840 COM
VISA INC 71000 24900410 COM CL A
AMAZON COM INC 105800 24420756 COM
INTUITIVE SURGICAL INC 42900 24296844 COM NEW
NVIDIA CORPORATION 123000 22939500 COM
SUN LIFE FINANCIAL INC. 366900 22906687 COM
AT&T INC 916400 22763376 COM
DEERE & CO 45500 21183435 COM
SERVICENOW INC 138000 21140220 COM
META PLATFORMS INC 31700 20924853 CL A
TAIWAN SEMICONDUCTOR MFG LTD 67000 20360630 SPONSORED ADS
HYATT HOTELS CORP 123500 19799520 COM CL A
CANADIAN NATL RY CO 198800 19664881 COM
WALMART INC 176200 19630442 COM
BCE INC 729000 17391671 COM NEW
LINDE PLC 39800 16970322 SHS
INFOSYS LTD 948000 16893360 SPONSORED ADR
TELUS CORPORATION 1223219 16124190 COM
NETFLIX INC 167000 15657920 COM
ADOBE INC 44200 15469558 COM
HDFC BANK LTD 403000 14725620 SPONSORED ADS
CANADIAN NAT RES LTD 432900 14665006 COM
SYNOPSYS INC 29200 13715824 COM
CROWN HLDGS INC 132000 13592040 COM
BROOKFIELD ASSET MANAGMT LTD 251758 13190076 CL A LMT VTG SHS
TFI INTL INC 126600 13087581 COM
TETRA TECH INC NEW 365000 12242100 COM
COCA COLA CO 170000 11884700 COM
MSA SAFETY INC 72375 11590133 COM
PROLOGIS INC. 89000 11361740 COM
CGI INC 122000 11270565 CL A SUB VTG
CUBESMART 309000 11139450 COM
GALLAGHER ARTHUR J & CO 42900 11102091 COM
BROADCOM INC 31500 10902150 COM
CANADIAN PACIFIC KANSAS CITY 141500 10419044 COM
ISHARES TR 125000 10078750 IBOXX HI YD ETF
IDEXX LABS INC 14800 10012644 COM
COPART INC 255000 9983250 COM
GARTNER INC 35500 8955940 COM
ALPHABET INC 27500 8607500 CAP STK CL A
TJX COS INC NEW 56000 8602160 COM
AFFILIATED MANAGERS GROUP IN 29000 8360120 COM
SANMINA CORPORATION 55100 8268857 COM
TOTALENERGIES SE 144000 8004960 ACT
FIRSTSERVICE CORP NEW 50390 7837465 COM
IONIS PHARMACEUTICALS INC 87000 6882570 COM
PLEXUS CORP 46000 6762000 COM
COCA COLA CONS INC 40600 6223980 COM
STANTEC INC 64600 6096835 COM
CARTERS INC 179100 5808213 COM
BRINKS CO 47600 5556348 COM
RESIDEO TECHNOLOGIES INC 157600 5534912 COM
SILGAN HLDGS INC 136900 5526653 COM
BENCHMARK ELECTRS INC 124600 5327896 COM
EDGEWELL PERS CARE CO 308200 5254810 COM
PERRIGO CO PLC 281000 3911520 SHS
WATSCO INC 8000 2695600 COM
PRECISION DRILLING CORP 28000 2009487 COM NEW
NABORS INDUSTRIES LTD 23200 1259760 SHS