Holdings Channel
Size ($ in 1000's)
At 03/31/2024: $2,008,237
At 12/31/2023: $1,879,509

Dixon Mitchell Investment Counsel Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Dixon Mitchell Investment Counsel Inc. 13F filings. Link to 13F filings: SEC filings

Dixon Mitchell Investment Counsel Inc. Top Holdings
As of  03/31/2024, below is a summary of the Dixon Mitchell Investment Counsel Inc. top holdings by largest position size, as per the latest 13f filing made by Dixon Mitchell Investment Counsel Inc.. In the Dixon Mitchell Investment Counsel Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Dixon Mitchell Investment Counsel Inc. in that top holding, then the share count change between reporting periods, and finally the Dixon Mitchell Investment Counsel Inc. top holding position size for that row.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
Visa Inc 432,884 +8,569 $120,809
     V432,884+8,569$120,809
Alphabet Inc 754,624 +6,290 $113,895
     GOOGL754,624+6,290$113,895
Berkshire Hathaway Inc      $105,753
     BRK.B251,481-2,431$105,753
Intercontinental Exchange Inc (ICE) 667,159 +23,066 $91,930
     ICE667,159+23,066$91,930
TFI International Inc 530,948 -1,807 $84,962
     TFII530,948-1,807$84,962
Toronto Dominion Bank The 1,388,528 +37,002 $83,881
     TD1,388,528+37,002$83,881
Microsoft Corp 192,316 -816 $80,911
     MSFT192,316-816$80,911
Royal Bank of Canada 785,633 +11,081 $79,315
     RY785,633+11,081$79,315
Brookfield Corp 1,732,196 +19,434 $72,552
     BN1,732,196+19,434$72,552
Canadian Natural Resources Ltd 908,250 +8,333 $70,040
     CNQ908,250+8,333$70,040
Wheaton Precious Metals Corp 1,387,950 +31,965 $65,433
     WPM1,387,950+31,965$65,433
Canadian National Railway Co 475,462 +5,068 $62,670
     CNI475,462+5,068$62,670
Lowe s Cos Inc 222,616 -902 $56,707
     LOW222,616-902$56,707
CVS Health Corp 694,255 +11,402 $55,374
     CVS694,255+11,402$55,374
Thermo Fisher Scientific Inc 91,628 -491 $53,291
     TMO91,628-491$53,291
Amazon.com Inc 278,361 -4,095 $50,211
     AMZN278,361-4,095$50,211
Roper Technologies Inc 85,260 -446 $47,817
     ROP85,260-446$47,817
Methanex Corp 1,066,683 +53,219 $47,589
     MEOH1,066,683+53,219$47,589
AMETEK Inc 253,377 +253,377 $46,343
     AME253,377+253,377$46,343
Texas Instruments Inc 250,673 -146 $43,670
     TXN250,673-146$43,670
Nuvei Corp 1,347,917 +179,840 $42,783
     NVEI1,347,917+179,840$42,783
Bank of Nova Scotia The 739,606 +18,002 $38,296
     BNS739,606+18,002$38,296
Apple Inc 220,595 -839 $37,828
     AAPL220,595-839$37,828
Thomson Reuters Corp 216,837 -89,961 $33,777
     TRI216,837-89,961$33,777
Danaher Corp 121,895 -966 $30,473
     DHR121,895-966$30,473
Comcast Corp 669,393 +112,134 $29,018
     CMCSA669,393+112,134$29,018
iShares Core MSCI EAFE ETF (IEFA) 383,769 +22,987 $28,483
     IEFA383,769+22,987$28,483
JPMorgan Chase & Co 134,300 -2,332 $26,900
     JPM134,300-2,332$26,900
Carlisle Cos Inc 65,673 -1,685 $25,734
     CSL65,673-1,685$25,734
Middleby Corp The 149,904 -3,764 $24,103
     MIDD149,904-3,764$24,103
Brookfield Infrastructure Part 766,343 +657 $23,954
     BIP766,343+657$23,954
Netflix Inc 38,539 -727 $23,406
     NFLX38,539-727$23,406
Domino s Pizza Inc 47,012 -1,288 $23,398
     DPZ47,012-1,288$23,398
Canadian Pacific Kansas City L 232,543 +4,066 $20,556
     CP232,543+4,066$20,556
Oracle Corp 157,468 -176,944 $19,780
     ORCL157,468-176,944$19,780
Mastercard Inc 34,427 -655 $16,579
     MA34,427-655$16,579
HCA Healthcare Inc 47,547 -699 $15,876
     HCA47,547-699$15,876
TopBuild Corp 34,502 -34,756 $15,206
     BLD34,502-34,756$15,206
Booking Holdings Inc 3,613 -2,688 $13,108
     BKNG3,613-2,688$13,108
Manulife Financial Corp 494,845 +15,496 $12,371
     MFC494,845+15,496$12,371
Triple Flag Precious Metals Co 774,789 -35,000 $11,205
     TFPM774,789-35,000$11,205
Waste Connections Inc 62,180 +1,925 $10,700
     WCN62,180+1,925$10,700
Colliers International Group I 80,211 -5,150 $9,814
     CIGI80,211-5,150$9,814
Nutrien Ltd 165,902 +8,758 $9,108
     NTR165,902+8,758$9,108
DR Horton Inc 48,718 -62,612 $8,017
     DHI48,718-62,612$8,017
S&P Global Inc 15,220 -125 $6,475
     SPGI15,220-125$6,475
Rogers Communications Inc 140,010 -187,985 $5,792
     RCI140,010-187,985$5,792
ATS Corp 138,625 +55,600 $4,669
     ATS138,625+55,600$4,669
Alphabet Inc 5,907 -1,300 $899
     GOOG5,907-1,300$899
Cenovus Energy Inc 38,929 -747 $778
     CVE38,929-747$778

See Full List: All Stocks Held By Dixon Mitchell Investment Counsel Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Dixon Mitchell Investment Counsel Inc.

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