Filer Name: LINCLUDEN MANAGEMENT LTD
CIK: 1058231
Period: 2024-12-31
Filed At: 2025-02-04
Number of Holdings: 73
Portfolio Value: $0.83B

Lincluden Management Ltd Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
RY US ROYAL BANK OF CANADA 591,555 $71M 8.63% -2.4% -
TD US TORONTO-DOMINION BANK 1,187,112 $63M 7.65% 11.4% -
TRP US TC ENERGY CORP 1,054,407 $49M 5.95% -13.5% -
BN US BROOKFIELD CORP 811,481 $47M 5.65% -7.1% -
BNS US BANK OF NOVA SCOTIA 789,620 $42M 5.13% -2.8% -
BCE US BCE INC 1,615,956 $37M 4.53% 17.3% -
CNI US CANADIAN NATL RAILWAY CO 362,587 $37M 4.46% 31.1% -
MFC US MANULIFE FINANCIAL CORP 1,153,282 $35M 4.29% -14.4% -
CM US CAN IMPERIAL BK OF COMMERCE 501,798 $32M 3.84% -36.9% -
PBA US PEMBINA PIPELINE CORP 771,535 $29M 3.45% -2.8% -
MGA US MAGNA INTERNATIONAL INC 661,661 $28M 3.35% -17.3% -
TU US TELUS CORP 1,959,730 $27M 3.22% 1.0% -
SU US SUNCOR ENERGY INC 627,334 $22M 2.71% -1.1% -
BIP US BROOKFIELD INFRASTRUCTURE PA 599,739 $19M 2.31% -3.2% -
QSR US RESTAURANT BRANDS INTERN 241,713 $16M 1.91% -3.0% -
BEP US BROOKFIELD RENEWABLE PARTNER 686,764 $16M 1.89% 4.6% -
CSCO US CISCO SYSTEMS INC 226,319 $13M 1.62% -0.3% -
ORCL US ORACLE CORP 70,979 $12M 1.43% -9.1% -
VZ US VERIZON COMMUNICATIONS INC 265,349 $11M 1.28% -0.7% -
PFE US PFIZER INC 385,837 $10M 1.24% -0.3% -
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