Onex Canada Asset Management 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, Onex Canada Asset Management Inc. held in its portfolio 72 assets valued at $720,497,047 (i.e. $720.50M).

The most valuable assets in the portfolio included: APOLLO GLOBAL MGMT INC ($47.37M), AON PLC ($42.22M), and ALPHABET INC ($40.44M).

The chart below shows the top 10 valuable assets, and the table below shows the top 72 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Onex Canada Asset Management Inc. Portfolio
APOLLO GLOBAL MGMT INC
AON PLC
ALPHABET INC
MICROSOFT CORP
NVIDIA CORPORATION
APPLE INC
AMAZON COM INC
S&P GLOBAL INC
UBER TECHNOLOGIES INC
META PLATFORMS INC
Onex Canada Asset Management Inc. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
APOLLO GLOBAL MGMT INC 327255 47373436 COM
AON PLC 119655 42223857 SHS CL A
ALPHABET INC 129206 40441478 CAP STK CL A
MICROSOFT CORP 74142 35856554 COM
NVIDIA CORPORATION 177382 33081743 COM
APPLE INC 111024 30182985 COM
AMAZON COM INC 111045 25631407 COM
S&P GLOBAL INC 45218 23630475 COM
UBER TECHNOLOGIES INC 287455 23487949 COM
META PLATFORMS INC 30295 19997426 CL A
BROADCOM INC 54442 18842376 COM
ALPHABET INC 55358 17371341 CAP STK CL C
BERKSHIRE HATHAWAY INC DEL 21 15850800 CL A
WAYFAIR INC 157799 15844598 CL A
ARAMARK 399757 14735052 COM
GILDAN ACTIVEWEAR INC 235794 14727694 COM
FIRST ADVANTAGE CORP NEW 961581 13971777 COM
RB GLOBAL INC 128891 13259017 COM
JPMORGAN CHASE & CO. 35760 11522587 COM
ENSIGN GROUP INC 61854 10774968 COM
PARKER-HANNIFIN CORP 10874 9557811 COM
SOTERA HEALTH CO 540501 9534453 COM
BANK AMERICA CORP 172409 9482495 COM
MASTERCARD INCORPORATED 15183 8667671 CL A
HILTON WORLDWIDE HLDGS INC 27873 8006519 COM
UNION PAC CORP 34357 7947461 COM
VISA INC 22019 7722283 COM CL A
ELI LILLY & CO 6877 7390574 COM
EXXON MOBIL CORP 61369 7385145 COM
LATHAM GROUP INC 1144440 7267209 COM
GE AEROSPACE 23067 7105328 COM NEW
THERMO FISHER SCIENTIFIC INC 12071 6994541 COM
UNITEDHEALTH GROUP INC 21024 6940233 COM
CBRE GROUP INC 42631 6854638 CL A
BURFORD CAP LTD 762888 6804983 ORD SHS
MARSH & MCLENNAN COS INC 35639 6611747 COM
SERVICENOW INC 41908 6419887 COM
NETFLIX INC 63404 5944759 COM
COCA COLA CO 80643 5637752 COM
CATERPILLAR INC 9805 5616990 COM
CME GROUP INC 20550 5611794 COM
MICRON TECHNOLOGY INC 19408 5539237 COM
ABBOTT LABS 43001 5387595 COM
TJX COS INC NEW 33279 5111987 COM
PROCTER AND GAMBLE CO 35422 5076327 COM
OREILLY AUTOMOTIVE INC 54308 4953433 COM
SHERWIN WILLIAMS CO 15089 4889289 COM
BECTON DICKINSON & CO 25039 4859319 COM
DANAHER CORPORATION 21092 4828381 COM
GRAPHIC PACKAGING HLDG CO 306366 4613878 COM
MCDONALDS CORP 14985 4579866 COM
TEXAS INSTRS INC 24697 4284683 COM
ADVANCED MICRO DEVICES INC 19103 4091098 COM
HOME DEPOT INC 11418 3928934 COM
CHEVRON CORP NEW 24184 3685883 COM
MASIMO CORP 25805 3356198 COM
INTUIT 5002 3313425 COM
THREDUP INC 463112 2959286 CL A
ADOBE INC 7922 2772621 COM
HAYWARD HLDGS INC 175254 2707679 COM
CSX CORP 67938 2462753 COM
ABBVIE INC 9470 2163800 COM
T-MOBILE US INC 9092 1846040 COM
JOHNSON & JOHNSON 8541 1767560 COM
HCA HEALTHCARE INC 2957 1380505 COM
EXPEDIA GROUP INC 4667 1322208 COM NEW
ELEVANCE HEALTH INC FORMERLY 3677 1288972 COM
ACCENTURE PLC IRELAND 4715 1265034 SHS CLASS A
DISNEY WALT CO 10815 1230423 COM
PPG INDS INC 12007 1230237 COM
PRIMO BRANDS CORPORATION 45093 737272 CLASS A COM SHS
SEAGATE TECHNOLOGY HLDNGS PL 2002 551331 ORD SHS