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Latest LINCLUDEN MANAGEMENT LTD Stock Portfolio

$823Million

Equity Portfolio Value
Last Reported on: 07 Feb, 2024

About LINCLUDEN MANAGEMENT LTD and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, LINCLUDEN MANAGEMENT LTD reported an equity portfolio of $824 Millions as of 31 Dec, 2023.

The top stock holdings of LINCLUDEN MANAGEMENT LTD are TD, RY, TRP. The fund has invested 8.6% of it's portfolio in TORONTO DOMINION BK ONT and 8% of portfolio in ROYAL BANK OF CANADA.

The fund managers got completely rid off HALEON PLC (HLN) and BANK MONTREAL QUE (BMO) stocks. They significantly reduced their stock positions in BROOKFIELD ASSET MGMT-A (BAM), GSK PLC (GSK) and CGI INC (GIB). LINCLUDEN MANAGEMENT LTD opened new stock positions in DIAGEO PLC-SPONS ADR (DEO), GILDAN ACTIVEWEAR INC (GIL) and VENTAS INC (VTR). The fund showed a lot of confidence in some stocks as they added substantially to JP MORGAN CHASE & CO (JPM), UDR INC. (UDR) and EXTRA SPACE STORAGE INC. (EXR).

New Buys

Ticker$ Bought
DIAGEO PLC-SPONS ADR7,464,000
GILDAN ACTIVEWEAR INC2,528,000
VENTAS INC2,170,000
BOSTON PROPORTIES INC.2,003,000
BROOKFIELD RENEWABLE PARTNERS LP94,000

New stocks bought by LINCLUDEN MANAGEMENT LTD

Additions to existing portfolio by LINCLUDEN MANAGEMENT LTD

Reductions

Ticker% Reduced
BROOKFIELD ASSET MGMT-A-94.14
GSK PLC-61.13
CGI INC-54.63
CANADIAN NAT RES LTD-45.57
VERMILLION ENERGY INC-38.34
AMERICOLD REALTY TRUST-32.51
FIRST SERVICE CORP-30.57
COSTCO WHOLESALE-26.48

LINCLUDEN MANAGEMENT LTD reduced stake in above stock

Sold off

Ticker$ Sold
HALEON PLC-2,362,000
BANK MONTREAL QUE-46,000

LINCLUDEN MANAGEMENT LTD got rid off the above stocks

Current Stock Holdings of LINCLUDEN MANAGEMENT LTD

Last Reported on: 07 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AMTAMERICAN TOWER CORP0.5621,5754,658,000UNCHANGED0.00
AVBAVALONBAY CMNTYS INC.0.3213,9792,617,000UNCHANGED0.00
BACBANK OF AMERICA CORPORATION0.65158,0665,322,000ADDED3.28
BAMBROOKFIELD ASSET MGMT-A0.035,778232,000REDUCED-94.14
BCEBCE INC5.291,106,84043,574,000REDUCED-4.05
BEPBROOKFIELD RENEWABLE PARTNERS LP0.013,58794,000NEW
BEPCBROOKFIELD RENEWABLE0.011,62047,000REDUCED-1.4
BMOBANK MONTREAL QUE0.000.000.00SOLD OFF-100
BNSBANK NOVA SCOTIA HALIFAX5.26890,24543,330,000REDUCED-11.94
BXPBOSTON PROPORTIES INC.0.2428,5412,003,000NEW
CCITIGROUP INC.0.2947,0702,421,000REDUCED-0.91
CIGICOLLIERS INTL GROUP INC.0.5435,4894,488,000UNCHANGED0.00
CMCANADIAN IMPERIAL BANK OF COMMERCE5.07867,71941,775,000REDUCED-14.99
CNCCENTENE CORP. DEL0.7886,0276,384,000REDUCED-1.09
CNICANADIAN NATIONAL RAILWAY CO4.35285,45835,876,000REDUCED-19.89
CNQCANADIAN NAT RES LTD0.4859,7933,917,000REDUCED-45.57
COLDAMERICOLD REALTY TRUST0.2363,9651,936,000REDUCED-32.51
COSTCOSTCO WHOLESALE0.425,1913,426,000REDUCED-26.48
CPTCAMDEN PROPERTY TRUST0.5041,7314,143,000REDUCED-9.12
CSCOCISCO SYSTEMS INC.1.29209,72510,595,000REDUCED-0.19
CVECENOVUS ENERGY INC.0.0419,800330,000UNCHANGED0.00
DEODIAGEO PLC-SPONS ADR0.9151,2407,464,000NEW
DGDOLLAR GENERAL CORP.0.6941,6805,666,000REDUCED-0.95
DISDISNEY WALT CO0.4036,1043,260,000REDUCED-1.34
EOGEOG RESOURCES0.5235,2744,266,000REDUCED-8.04
EQIXEQUINIX INC.0.202,0991,691,000UNCHANGED0.00
EXREXTRA SPACE STORAGE INC.0.6031,1004,986,000ADDED27.8
FRTFEDERAL REALTY INVT TR0.8064,3866,635,000REDUCED-0.73
FSVFIRST SERVICE CORP0.7839,6486,422,000REDUCED-30.57
GIBCGI INC0.3627,4482,940,000REDUCED-54.63
GILGILDAN ACTIVEWEAR INC0.3176,4472,528,000NEW
GLWCORNING INC.0.3696,3222,933,000REDUCED-1.44
GNTXGENTEX CORP.0.51128,9784,212,000REDUCED-1.19
GOOGALPHABET INC.0.8650,9167,112,000REDUCED-12.91
GSKGSK PLC0.3065,9752,445,000REDUCED-61.13
HDHOME DEPOT0.5212,3934,294,000REDUCED-1.16
HLNHALEON PLC0.000.000.00SOLD OFF-100
INGING GROEP N V0.59321,3784,827,000REDUCED-1.39
JNJJOHNSON & JOHNSON0.2613,8822,176,000REDUCED-1.64
JPMJP MORGAN CHASE & CO0.5928,5734,860,000ADDED189
KRKROGER CO0.62110,8345,066,000REDUCED-0.99
MFCMANULIFE FINL CORP COM4.321,611,64035,609,000REDUCED-7.06
MGAMAGNA INTL INC4.22588,92534,792,000REDUCED-14.85
MSMORGAN STANLEY0.4135,9643,354,000REDUCED-1.3
MSFTMICROSOFT CORP.0.8418,5226,965,000REDUCED-1.39
ORANORANGE0.38271,0743,098,000REDUCED-1.47
ORCLORACLE CORP1.1993,1059,816,000REDUCED-0.81
PBAPEMBINA PIPELINE CORP.3.52843,25329,029,000REDUCED-18.42
PFEPFIZER INC1.25357,54310,294,000ADDED15.7
QSRRESTAURANT BRANDS INTL INC.2.64278,93521,791,000REDUCED-19.22
RCIROGERS COMMUNICATIONS INC0.3664,0372,997,000REDUCED-4.44
RMRRMR GROUP INC.0.99290,0008,187,000UNCHANGED0.00
RYROYAL BANK OF CANADA7.97649,47265,672,000REDUCED-15.8
SAPSAP SE0.189,5451,476,000REDUCED-1.51
SPGSIMON PPTY GROUP NEW0.2916,9122,412,000UNCHANGED0.00
SUSUNCOR ENERGY INC2.64679,96321,781,000REDUCED-17.43
TCNTRICON RESIDENTIAL INC1.101,000,4009,104,000REDUCED-25.94
TDTORONTO DOMINION BK ONT8.641,101,89071,192,000REDUCED-15.3
TJXTJX COMPANIES INC.0.2925,5002,392,000REDUCED-1.56
TRNOTERRENO REALTY CORP.0.3141,1402,578,000UNCHANGED0.00
TRPTC ENERGY CORP.6.111,288,50050,327,000REDUCED-2.52
TSCOTRACTOR SUPPLY CO0.3212,2842,641,000REDUCED-0.69
TTETOTAL ENERGIES SE0.2732,8452,213,000REDUCED-1.19
TUTELUS CORP.3.571,651,96029,394,000REDUCED-18.15
UDRUDR INC.0.55117,7704,509,000ADDED84.51
UNHUNITEDHEALTH GROUP INC COM0.264,0722,144,000REDUCED-1.19
USBUS BANCORP0.82157,0136,796,000REDUCED-14.31
VETVERMILLION ENERGY INC0.36247,8012,986,000REDUCED-38.34
VODVODAFONE GROUP PLC0.30283,9112,470,000REDUCED-1.11
VTRVENTAS INC0.2643,5302,170,000NEW
VZVERIZON COMMUNICATIONS1.24270,94810,215,000REDUCED-0.61
WBAWALLGREENS BOOTS ALLIANCE INC0.84266,7166,964,000REDUCED-0.42
WELLWELLTOWER INC.0.3027,3712,468,000UNCHANGED0.00
WMTWAL MART STORES INC0.4020,8453,286,000REDUCED-1.72
BROOKFIELD CORP4.961,019,99040,909,000REDUCED-15.76
GRANITE REAL ESTATE INVT TR0.93133,5907,689,000UNCHANGED0.00
SANOFI SA0.4066,1953,292,000ADDED19.81