Holdings Channel
EntityShares/Amount
Change
Position Value
Change
XOP +13,230+$1,792
WAT +5,690+$1,774
FANG +6,700+$1,044
SQ +13,255+$1,025
CRM +3,642+$950
BXP +10,585+$752
QQQ +725+$294
VALE +18,500+$282
COF +1,950+$261
DIA +625+$236
EntityShares/Amount
Change
Position Value
Change
PXD -7,735-$1,863
WOOD -22,830-$1,706
XLV -12,610-$1,646
IBB -11,690-$1,445
DHR -3,796-$942
COP -4,847-$564
GIL -13,310-$395
TMO -789-$389
PSX -2,088-$231
EntityShares/Amount
Change
Position Value
Change
TIP +62,793+$6,803
WPM +46,435+$2,311
PBA +26,766+$1,806
TU +26,340+$1,728
ENB +21,530+$4,244
FTS +19,785+$1,191
FMS +17,725+$273
AEM +16,218+$1,229
CMCSA +15,539+$620
FCX +15,385+$985
EntityShares/Amount
Change
Position Value
Change
VEA -121,830-$5,167
TAC -99,065-$985
T -79,209-$1,029
UL -72,219-$3,431
MUFG -71,535-$369
MFC -46,577-$150
BCE -40,007-$568
ING -37,753+$161
TRP -28,431+$142
Size ($ in 1000's)
At 12/31/2023: $959,221
At 09/30/2023: $894,576

Guardian Capital Advisors LP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Guardian Capital Advisors LP 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Guardian Capital Advisors LP
As of  12/31/2023, we find all stocks held by Guardian Capital Advisors LP to be as follows, presented in the table below with each row detailing each Guardian Capital Advisors LP position, ordered by largest to smallest position size. The all-stocks-held-by-Guardian Capital Advisors LP table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Guardian Capital Advisors LP as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
ROYAL BK CDA 577,649 -1,298 $59,259
     RY577,649-1,298$59,259
TORONTO DOMINION BK ONT 849,859 -7,097 $55,991
     TD849,859-7,097$55,991
BANK MONTREAL QUE 411,276 -2,712 $41,052
     BMO411,276-2,712$41,052
BANK NOVA SCOTIA HALIFAX 691,216 +13,234 $33,643
     BNS691,216+13,234$33,643
ENBRIDGE INC 755,111 +21,530 $28,448
     ENB755,111+21,530$28,448
CANADIAN NATL RY CO 221,339 -4,460 $28,067
     CNI221,339-4,460$28,067
MICROSOFT CORP 71,090 -4,282 $26,637
     MSFT71,090-4,282$26,637
CANADIAN IMPERIAL BK COMM TO 494,087 -787 $24,001
     CM494,087-787$24,001
CANADIAN NAT RES LTD 314,016 -1,737 $20,808
     CNQ314,016-1,737$20,808
JPMORGAN CHASE & CO 106,730 -6,759 $18,360
     JPM106,730-6,759$18,360
TELUS CORPORATION 913,921 +26,340 $16,769
     TU913,921+26,340$16,769
NOVO NORDISK A S 151,533 -15,614 $16,123
     NVO151,533-15,614$16,123
JOHNSON & JOHNSON 97,626 -3,733 $15,770
     JNJ97,626-3,733$15,770
MCDONALDS CORP 53,058 -2,280 $15,488
     MCD53,058-2,280$15,488
APPLE INC 82,812 -3,460 $15,367
     AAPL82,812-3,460$15,367
NUTRIEN LTD 261,248 -11,236 $14,738
     NTR261,248-11,236$14,738
PEPSICO INC 86,660 -3,689 $14,655
     PEP86,660-3,689$14,655
BCE INC 349,207 -40,007 $14,465
     BCE349,207-40,007$14,465
SUNCOR ENERGY INC NEW 425,412 -10,338 $14,236
     SU425,412-10,338$14,236
EMERSON ELEC CO 135,016 -2,793 $12,930
     EMR135,016-2,793$12,930
WALMART INC 80,206 -4,233 $12,693
     WMT80,206-4,233$12,693
BROOKFIELD CORP 318,055 -23,280 $12,538
     BN318,055-23,280$12,538
DUKE ENERGY CORP NEW 123,965 -1,145 $12,321
     DUK123,965-1,145$12,321
BROOKFIELD ASSET MANAGMT LTD 312,194 +1,254 $12,275
     BAM312,194+1,254$12,275
NATIONAL GRID PLC 169,675 -8,299 $11,736
     NGG169,675-8,299$11,736
ROGERS COMMUNICATIONS INC 237,817 -252 $11,367
     RCI237,817-252$11,367
ING GROEP N.V. 761,118 -37,753 $11,074
     ING761,118-37,753$11,074
UNITEDHEALTH GROUP INC 19,950 +1,651 $10,704
     UNH19,950+1,651$10,704
ABCELLERA BIOLOGICS INC 1,786,414 UNCH $10,665
     ABCL1,786,414UNCH$10,665
FORTIS INC 244,685 +19,785 $10,405
     FTS244,685+19,785$10,405
CHEVRON CORP NEW 69,541 -2,318 $10,396
     CVX69,541-2,318$10,396
IMPERIAL OIL LTD 174,832 -1,780 $10,180
     IMO174,832-1,780$10,180
SUN LIFE FINANCIAL INC. 179,138 -2,219 $9,336
     SLF179,138-2,219$9,336
ISHARES TR (TIP) 86,423 +62,793 $9,252
     TIP86,423+62,793$9,252
WISDOMTREE TR 101,350 +15,090 $9,237
     DXJ101,350+15,090$9,237
SANOFI 176,481 -11,271 $9,175
     SNY176,481-11,271$9,175
VANGUARD INDEX FDS (VUG) 29,400 UNCH $9,048
     VUG29,400UNCH$9,048
TC ENERGY CORP 210,257 -28,431 $8,557
     TRP210,257-28,431$8,557
PEMBINA PIPELINE CORP 235,105 +26,766 $8,179
     PBA235,105+26,766$8,179
MAGNA INTL INC 138,368 +2,084 $8,030
     MGA138,368+2,084$8,030
SAP SE 51,694 -2,161 $7,886
     SAP51,694-2,161$7,886
DIAGEO PLC 55,099 -6,064 $7,879
     DEO55,099-6,064$7,879
BHP GROUP LTD 113,832 -12,708 $7,515
     BHP113,832-12,708$7,515
MASTERCARD INCORPORATED 17,256 +2,115 $7,282
     MA17,256+2,115$7,282
COSTCO WHSL CORP NEW 10,291 +303 $6,809
     COST10,291+303$6,809
TOTALENERGIES SE 98,876 -8,580 $6,590
     TTE98,876-8,580$6,590
AMERICAN EXPRESS CO 34,165 +225 $6,464
     AXP34,165+225$6,464
SPDR SER TR (XHB) 67,080 -14,610 $6,311
     XHB67,080-14,610$6,311
TEXAS INSTRS INC 35,990 -801 $6,066
     TXN35,990-801$6,066
ORACLE CORP 57,330 -8,518 $6,000
     ORCL57,330-8,518$6,000
TAIWAN SEMICONDUCTOR MFG LTD 57,085 -5,805 $5,836
     TSM57,085-5,805$5,836
COMCAST CORP NEW 132,259 +15,539 $5,784
     CMCSA132,259+15,539$5,784
ALPHABET INC 40,414 -284 $5,611
     GOOGL40,414-284$5,611
SPDR S&P 500 ETF TR (SPY) 11,658 +138 $5,533
     SPY11,658+138$5,533
AFLAC INC 66,383 -5,150 $5,501
     AFL66,383-5,150$5,501
QUALCOMM INC 38,275 -2,860 $5,321
     QCOM38,275-2,860$5,321
MANULIFE FINL CORP 220,344 -46,577 $4,888
     MFC220,344-46,577$4,888
NOVARTIS AG 44,541 +132 $4,769
     NVS44,541+132$4,769
AGNICO EAGLE MINES LTD 85,470 +16,218 $4,540
     AEM85,470+16,218$4,540
SELECT SECTOR SPDR TR (XLE) 51,970 UNCH $4,352
     XLE51,970UNCH$4,352
AMERICAN ELEC PWR CO INC 51,061 -5,635 $4,315
     AEP51,061-5,635$4,315
BAXTER INTL INC 99,465 -1,255 $4,045
     BAX99,465-1,255$4,045
BROOKFIELD INFRAST PARTNERS 129,205 +7,055 $4,028
     BIP129,205+7,055$4,028
MITSUBISHI UFJ FINL GROUP IN 451,401 -71,535 $4,013
     MUFG451,401-71,535$4,013
ASTRAZENECA PLC 56,228 -2,355 $3,892
     AZN56,228-2,355$3,892
ELEVANCE HEALTH INC 7,701 -1,128 $3,697
     ELV7,701-1,128$3,697
WELLS FARGO CO NEW 71,540 -2,212 $3,571
     WFC71,540-2,212$3,571
GLOBAL X FDS 93,300 +14,340 $3,464
     COPX93,300+14,340$3,464
FREEPORT MCMORAN INC 81,920 +15,385 $3,457
     FCX81,920+15,385$3,457
NIKE INC 32,698 +3,845 $3,388
     NKE32,698+3,845$3,388
UNILEVER PLC 67,184 -72,219 $3,308
     UL67,184-72,219$3,308
CANADIAN PACIFIC KANSAS CITY 40,765 -445 $3,258
     CP40,765-445$3,258
RTX CORPORATION 37,260 +2,215 $3,198
     RTX37,260+2,215$3,198
3M CO 29,223 +485 $3,181
     MMM29,223+485$3,181
THOMSON REUTERS CORP. 20,487 -426 $3,028
     TRI20,487-426$3,028
WASTE CONNECTIONS INC 20,019 -748 $2,980
     WCN20,019-748$2,980
PFIZER INC 99,750 -8,334 $2,951
     PFE99,750-8,334$2,951
VANGUARD INDEX FDS (VOO) 6,438 +2,048 $2,808
     VOO6,438+2,048$2,808
CENOVUS ENERGY INC 165,330 -25,559 $2,727
     CVE165,330-25,559$2,727
VANGUARD TAX MANAGED FDS (VEA) 56,920 -121,830 $2,711
     VEA56,920-121,830$2,711
DISNEY WALT CO 29,500 +325 $2,701
     DIS29,500+325$2,701
WHEATON PRECIOUS METALS CORP 55,455 +46,435 $2,688
     WPM55,455+46,435$2,688
STARBUCKS CORP 27,749 +648 $2,614
     SBUX27,749+648$2,614
FRESENIUS MEDICAL CARE AG 123,715 +17,725 $2,556
     FMS123,715+17,725$2,556
CME GROUP INC 11,910 +2,385 $2,383
     CME11,910+2,385$2,383
ELI LILLY & CO 3,727 +12 $2,333
     LLY3,727+12$2,333
OPEN TEXT CORP 53,695 +7,965 $2,245
     OTEX53,695+7,965$2,245
ALPHABET INC 14,755 +630 $2,074
     GOOG14,755+630$2,074
BLACKROCK INC 2,585 -13 $2,061
     BLK2,585-13$2,061
BROOKFIELD RENEWABLE PARTNER 73,929 -1,530 $2,044
     BEP73,929-1,530$2,044
INTUIT 3,322 +700 $1,988
     INTU3,322+700$1,988
SPDR SER TR (XOP) 13,230 +13,230 $1,792
     XOP13,230+13,230$1,792
WATERS CORP 5,690 +5,690 $1,774
     WAT5,690+5,690$1,774
ACCENTURE PLC IRELAND 5,169 +2,404 $1,759
     ACN5,169+2,404$1,759
ALGONQUIN PWR UTILS CORP 259,374 +4,200 $1,748
     AQN259,374+4,200$1,748
CAMECO CORP 37,621 -200 $1,627
     CCJ37,621-200$1,627
TECK RESOURCES LTD 37,351 UNCH $1,520
     TECK37,351UNCH$1,520
BERKSHIRE HATHAWAY INC DEL      $1,510
     BRK.B4,101+410$1,510
MARKETAXESS HLDGS INC 5,305 +4,000 $1,472
     MKTX5,305+4,000$1,472
SPDR SER TR (BIL) 15,065 -4,050 $1,378
     BIL15,065-4,050$1,378
TRANSALTA CORP 160,327 -99,065 $1,310
     TAC160,327-99,065$1,310
VERISK ANALYTICS INC 5,230 +150 $1,217
     VRSK5,230+150$1,217
LINDE PLC 2,876 +60 $1,174
     LIN2,876+60$1,174
UNITED PARCEL SERVICE INC 6,855 -50 $1,096
     UPS6,855-50$1,096
PALO ALTO NETWORKS INC 3,775 -600 $1,093
     PANW3,775-600$1,093
DIAMONDBACK ENERGY INC 6,700 +6,700 $1,044
     FANG6,700+6,700$1,044
BLOCK INC 13,255 +13,255 $1,025
     SQ13,255+13,255$1,025
ON HLDG AG 36,150 +5,600 $1,019
     ONON36,150+5,600$1,019
ROPER TECHNOLOGIES INC 1,908 UNCH $1,009
     ROP1,908UNCH$1,009
AT&T INC 55,294 -79,209 $958
     T55,294-79,209$958
BOOKING HOLDINGS INC 275 +2 $952
     BKNG275+2$952
SALESFORCE INC 3,642 +3,642 $950
     CRM3,642+3,642$950
TRAVELERS COMPANIES INC 4,823 -710 $928
     TRV4,823-710$928
AMAZON COM INC 5,802 +1,802 $865
     AMZN5,802+1,802$865
ISHARES TR (SHY) 9,960 +2,815 $816
     SHY9,960+2,815$816
INTEL CORP 15,702 -1,970 $761
     INTC15,702-1,970$761
BOSTON PROPERTIES INC 10,585 +10,585 $752
     BXP10,585+10,585$752
CGI INC 6,754 -125 $714
     GIB6,754-125$714
VISA INC 2,605 UNCH $684
     V2,605UNCH$684
CORNING INC 19,365 -870 $607
     GLW19,365-870$607
BANK AMERICA CORP 17,750 -2,932 $606
     BAC17,750-2,932$606
VANGUARD SCOTTSDALE FDS (VGSH) 10,290 UNCH $599
     VGSH10,290UNCH$599
BOEING CO 2,275 -450 $593
     BA2,275-450$593
SHOPIFY INC 7,370 -480 $580
     SHOP7,370-480$580
PHILIP MORRIS INTL INC 5,950 -150 $573
     PM5,950-150$573
AMERIS BANCORP 10,900 UNCH $562
     ABCB10,900UNCH$562
BROOKFIELD RENEWABLE CORP 17,551 +684 $543
     BEPC17,551+684$543
ISHARES TR (HYG) 6,948 -235 $536
     HYG6,948-235$536
HOME DEPOT INC 1,451 -50 $505
     HD1,451-50$505
DIMENSIONAL ETF TRUST (DFEM) 20,682 +382 $490
     DFEM20,682+382$490
AUTOMATIC DATA PROCESSING IN 2,050 -25 $485
     ADP2,050-25$485
VANGUARD INDEX FDS (VTI) 1,975 UNCH $467
     VTI1,975UNCH$467
RESTAURANT BRANDS INTL INC 5,545 +41 $439
     QSR5,545+41$439
ISHARES TR (AGG) 4,398 +877 $434
     AGG4,398+877$434
TESLA INC 1,745 -15 $427
     TSLA1,745-15$427
PRECISION DRILLING CORP 7,714 -2,128 $419
     PDS7,714-2,128$419
ALTRIA GROUP INC 9,600 -300 $402
     MO9,600-300$402
ISHARES INC (EMXC) 7,210 UNCH $396
     EMXC7,210UNCH$396
ISHARES INC (EEMS) 6,630 UNCH $382
     EEMS6,630UNCH$382
META PLATFORMS INC 1,016 -11 $364
     META1,016-11$364
PROCTER AND GAMBLE CO 2,315 -207 $344
     PG2,315-207$344
VERIZON COMMUNICATIONS INC 8,433 -464 $338
     VZ8,433-464$338
COLGATE PALMOLIVE CO 4,115 +100 $331
     CL4,115+100$331
CISCO SYS INC 6,485 +30 $327
     CSCO6,485+30$327
FRANCO NEV CORP 2,938 -18,717 $325
     FNV2,938-18,717$325
CRESCENT PT ENERGY CORP 47,449 -1,200 $323
     CPG47,449-1,200$323
BRISTOL MYERS SQUIBB CO 5,800 UNCH $300
     BMY5,800UNCH$300
INVESCO QQQ TR 725 +725 $294
     QQQ725+725$294
BROOKFIELD BUSINESS PARTNERS 13,939 UNCH $283
     BBU13,939UNCH$283
NVIDIA CORPORATION 541 +16 $283
     NVDA541+16$283
VALE S A 18,500 +18,500 $282
     VALE18,500+18,500$282
LAUDER ESTEE COS INC 1,992 +12 $277
     EL1,992+12$277
ISHARES TR (ICSH) 5,500 -300 $277
     ICSH5,500-300$277
MERCK & CO INC 2,274 +24 $267
     MRK2,274+24$267
UNION PAC CORP 1,100 -50 $265
     UNP1,100-50$265
CAPITAL ONE FINL CORP 1,950 +1,950 $261
     COF1,950+1,950$261
CELESTICA INC 8,770 +685 $256
     CLS8,770+685$256
FIRST TR NAS100 EQ WEIGHTED (QQEW) 2,200 UNCH $256
     QQEW2,200UNCH$256
SPDR DOW JONES INDL AVERAGE (DIA) 625 +625 $236
     DIA625+625$236
ISHARES U S ETF TR (LQDH) 2,504 -375 $233
     LQDH2,504-375$233
SPDR S&P MIDCAP 400 ETF TR (MDY) 460 +460 $231
     MDY460+460$231
BROOKFIELD INFRASTRUCTURE CO 6,294 -709 $230
     BIPC6,294-709$230
PRUDENTIAL FINL INC 2,205 UNCH $230
     PRU2,205UNCH$230
ISHARES TR (DGRO) 4,000 +4,000 $216
     DGRO4,000+4,000$216
PETROLEO BRASILEIRO SA PETRO 11,000 +11,000 $179
     PBR11,000+11,000$179
SPROTT PHYSICAL SILVER TR 16,350 UNCH $129
     PSLV16,350UNCH$129
BAYTEX ENERGY CORP 28,937 +28,937 $95
     BTE28,937+28,937$95
HECLA MNG CO 20,000 UNCH $88
     HL20,000UNCH$88
ENERGY FUELS INC 12,750 UNCH $88
     UUUU12,750UNCH$88
KULR TECHNOLOGY GROUP INC 10,000 +0 $2
     KULR10,000UNCH$2
CONOCOPHILLIPS $0 (exited)
     COP0-4,847$0
DANAHER CORPORATION $0 (exited)
     DHR0-3,796$0
GILDAN ACTIVEWEAR INC $0 (exited)
     GIL0-13,310$0
ISHARES TR $0 (exited)
     IBB0-11,690$0
PHILLIPS 66 $0 (exited)
     PSX0-2,088$0
PIONEER NAT RES CO $0 (exited)
     PXD0-7,735$0
THERMO FISHER SCIENTIFIC INC $0 (exited)
     TMO0-789$0
ISHARES TR $0 (exited)
     WOOD0-22,830$0
SELECT SECTOR SPDR TR 0 -12,610 $0 (exited)
     XLV0-12,610$0

See Summary: Guardian Capital Advisors LP Top Holdings
See Details: Top 10 Stocks Held By Guardian Capital Advisors LP

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