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Latest GLUSKIN SHEFF & ASSOC INC Stock Portfolio

$1.00Billion

Equity Portfolio Value
Last Reported on: 15 May, 2024

About GLUSKIN SHEFF & ASSOC INC and it’s 13F Hedge Fund Stock Holdings

Onex Canada Asset Management Inc. is a hedge fund based in Canada. On 30-Aug-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $6 Billions. In it's latest 13F Holdings report, Onex Canada Asset Management Inc. reported an equity portfolio of $1 Billions as of 31 Mar, 2024.

The top stock holdings of Onex Canada Asset Management Inc. are , AON, MSFT. The fund has invested 4.8% of it's portfolio in APOLLO GLOBAL MGMT INC and 4.1% of portfolio in AON PLC.

The fund managers got completely rid off FTAI AVIATION LTD (FTAI), TRICON RESIDENTIAL INC (TCN) and CANADIAN NAT RES LTD (CNQ) stocks. They significantly reduced their stock positions in ALIGHT INC (ALIT), WILLSCOT MOBIL MINI HLDNG CO (WSC) and MERCK & CO INC (MRK). Onex Canada Asset Management Inc. opened new stock positions in D R HORTON INC (DHI) and FOMENTO ECONOMICO MEXICANO S (FMX). The fund showed a lot of confidence in some stocks as they added substantially to GENERAL ELECTRIC CO (GE), KBR INC (KBR) and UNITEDHEALTH GROUP INC (UNH).

New Buys

Ticker$ Bought
D R HORTON INC3,427,580
FOMENTO ECONOMICO MEXICANO S2,468,360

New stocks bought by GLUSKIN SHEFF & ASSOC INC

Additions

Ticker% Inc.
GENERAL ELECTRIC CO148
KBR INC49.06
UNITEDHEALTH GROUP INC47.52
ASTRAZENECA PLC46.71
VERMILION ENERGY INC43.48
ARAMARK24.28
BCE INC22.36
BECTON DICKINSON & CO8.09

Additions to existing portfolio by GLUSKIN SHEFF & ASSOC INC

Reductions

Ticker% Reduced
ALIGHT INC-57.73
WILLSCOT MOBIL MINI HLDNG CO-55.53
MERCK & CO INC-39.18
COCA-COLA FEMSA SAB DE CV-35.97
BROADCOM INC-24.58
CHEVRON CORP NEW-21.53
NOVARTIS AG-21.53
META PLATFORMS INC-21.5

GLUSKIN SHEFF & ASSOC INC reduced stake in above stock

Sold off

Ticker$ Sold
TRICON RESIDENTIAL INC-3,669,520
FTAI AVIATION LTD-3,948,410
CANADIAN NAT RES LTD-3,083,190
PFIZER INC-957,007
SCHLUMBERGER LTD-1,655,910
ENTERGY CORP NEW-2,787,280
GILEAD SCIENCES INC-1,776,950
DOLLAR GEN CORP NEW-1,614,950

GLUSKIN SHEFF & ASSOC INC got rid off the above stocks

Current Stock Holdings of GLUSKIN SHEFF & ASSOC INC

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC2.23130,02122,296,000REDUCED-9.79
ABBVABBVIE INC0.2815,2872,783,760REDUCED-7.54
ABTABBOTT LABS0.3833,4483,801,700REDUCED-7.86
ADBEADOBE INC0.428,3454,210,890REDUCED-8.19
ALITALIGHT INC0.68694,5246,841,060REDUCED-57.73
AMDADVANCED MICRO DEVICES INC0.4022,1974,006,340REDUCED-7.47
AMZNAMAZON COM INC2.02111,82920,171,700REDUCED-7.97
AONAON PLC4.09122,64840,930,100ADDED6.5
AQNALGONQUIN PWR UTILS CORP0.821,292,6108,168,020REDUCED-11.16
ARMKARAMARK1.76541,94517,624,100ADDED24.28
ASMLASML HOLDING N V0.545,5285,364,760UNCHANGED0.00
AVGOBROADCOM INC0.896,7458,939,890REDUCED-24.58
AZNASTRAZENECA PLC0.4029,8404,021,290ADDED46.71
BABOEING CO0.168,4521,631,150REDUCED-6.75
BABAALIBABA GROUP HLDG LTD0.2331,5302,281,510UNCHANGED0.00
BACBANK AMERICA CORP0.86227,1758,614,480REDUCED-7.45
BAMBROOKFIELD ASSET MANAGMT LTD0.2662,0112,604,710REDUCED-18.95
BCEBCE INC1.42417,92214,200,800ADDED22.36
BDXBECTON DICKINSON & CO0.4417,8014,404,860ADDED8.09
BEPBROOKFIELD RENEWABLE PARTNER0.26111,9912,604,150REDUCED-6.08
BIPBROOKFIELD INFRAST PARTNERS0.94300,4479,381,750REDUCED-12.48
BMOBANK MONTREAL QUE1.43146,58114,310,300REDUCED-11.31
BNSBANK NOVA SCOTIA HALIFAX0.95184,2899,532,450REDUCED-7.01
BTGB2GOLD CORP0.25958,4652,511,790REDUCED-18.08
BURBURFORD CAP LTD2.011,258,18020,093,100ADDED4.66
CATCATERPILLAR INC0.3810,3313,785,590REDUCED-8.08
CBRECBRE GROUP INC0.4748,3154,698,150REDUCED-7.34
CHTRCHARTER COMMUNICATIONS INC N0.000.000.00SOLD OFF-100
CIGICOLLIERS INTL GROUP INC0.4537,0484,528,200REDUCED-18.25
CMCANADIAN IMPERIAL BK COMM TO1.11219,32011,117,800REDUCED-6.32
CMCSACOMCAST CORP NEW0.1944,7691,940,740REDUCED-16.81
CMECME GROUP INC0.5123,6905,100,220REDUCED-8.18
CNICANADIAN NATL RY CO0.4433,7614,445,460REDUCED-18.18
CNQCANADIAN NAT RES LTD0.000.000.00SOLD OFF-100
CPCANADIAN PACIFIC KANSAS CITY0.7079,8797,042,470REDUCED-18.02
CSXCSX CORP0.3286,0523,189,950REDUCED-7.96
CVXCHEVRON CORP NEW0.5233,1175,223,880REDUCED-21.53
DGDOLLAR GEN CORP NEW0.000.000.00SOLD OFF-100
DHID R HORTON INC0.3420,8303,427,580NEW
DHRDANAHER CORPORATION0.4819,0964,768,650REDUCED-7.29
DISDISNEY WALT CO0.2923,8512,918,410REDUCED-8.08
DOOOBRP INC0.5277,7455,219,790REDUCED-18.6
ELVELEVANCE HEALTH INC0.265,0782,633,150REDUCED-7.72
ENBENBRIDGE INC2.07574,15420,747,100REDUCED-11.49
ESSESSEX PPTY TR INC0.000.000.00SOLD OFF-100
ETRENTERGY CORP NEW0.000.000.00SOLD OFF-100
EXPEEXPEDIA GROUP INC0.1813,2561,826,010REDUCED-8.00
FMXFOMENTO ECONOMICO MEXICANO S0.2518,9482,468,360NEW
FSVFIRSTSERVICE CORP NEW0.6137,1416,148,440REDUCED-18.12
FTAIFTAI AVIATION LTD0.000.000.00SOLD OFF-100
GEGENERAL ELECTRIC CO0.9654,9809,650,640ADDED148
GILGILDAN ACTIVEWEAR INC0.81217,8538,088,880ADDED0.52
GILDGILEAD SCIENCES INC0.000.000.00SOLD OFF-100
GOLDBARRICK GOLD CORP0.30178,5302,969,280REDUCED-17.94
GOOGALPHABET INC2.02134,14020,245,800REDUCED-7.04
GOOGALPHABET INC1.73113,42817,270,500ADDED7.41
GSKGSK PLC0.58267,6805,772,090REDUCED-14.39
HCAHCA HEALTHCARE INC0.3510,4303,478,720REDUCED-8.03
HDHOME DEPOT INC0.379,6743,710,950REDUCED-7.93
HLTHILTON WORLDWIDE HLDGS INC0.7434,5197,363,250REDUCED-7.66
INTUINTUIT0.436,6034,291,950REDUCED-8.27
JNJJOHNSON & JOHNSON0.2918,5682,937,270REDUCED-8.12
JPMJPMORGAN CHASE & CO1.0451,98810,413,200REDUCED-7.98
KBRKBR INC2.01315,87620,108,700ADDED49.06
KOCOCA COLA CO0.4573,0034,466,320REDUCED-7.96
KOFCOCA-COLA FEMSA SAB DE CV0.2223,1452,249,690REDUCED-35.97
LLYELI LILLY & CO0.688,7016,769,030REDUCED-11.4
MAMASTERCARD INCORPORATED0.8016,7078,045,590REDUCED-8.15
MCDMCDONALDS CORP0.4616,1924,565,330REDUCED-7.62
METAMETA PLATFORMS INC3.0663,15430,666,300REDUCED-21.5
MFCMANULIFE FINL CORP1.36544,04813,586,700REDUCED-13.45
MGAMAGNA INTL INC0.2953,7982,930,510REDUCED-17.9
MMCMARSH & MCLENNAN COS INC2.44118,41424,390,900REDUCED-4.61
MRKMERCK & CO INC0.3526,6733,519,500REDUCED-39.18
MSFTMICROSOFT CORP3.1173,97131,121,100REDUCED-9.36
MUMICRON TECHNOLOGY INC0.3328,3243,339,120REDUCED-9.42
NFLXNETFLIX INC0.457,4134,502,140REDUCED-8.23
NOWSERVICENOW INC0.749,7367,422,730REDUCED-8.37
NTRNUTRIEN LTD0.3258,6653,186,960REDUCED-20.7
NVDANVIDIA CORPORATION1.6217,99016,255,000REDUCED-15.41
NVONOVO-NORDISK A S0.3426,7903,414,720UNCHANGED0.00
NVSNOVARTIS AG0.4243,7334,230,290REDUCED-21.53
ORLYOREILLY AUTOMOTIVE INC0.484,2244,768,390REDUCED-7.71
OTEXOPEN TEXT CORP1.92493,99519,167,000ADDED0.16
PBAPEMBINA PIPELINE CORP0.80226,0347,977,470REDUCED-6.45
PFEPFIZER INC0.000.000.00SOLD OFF-100
PGPROCTER AND GAMBLE CO0.5734,8815,659,440ADDED0.51
PHPARKER-HANNIFIN CORP0.6311,3136,287,650REDUCED-8.29
PPGPPG INDS INC0.2215,5502,253,200REDUCED-7.81
QSRRESTAURANT BRANDS INTL INC0.5265,1545,173,820REDUCED-19.9
RBARB GLOBAL INC2.24294,56622,437,100REDUCED-9.92
REGNREGENERON PHARMACEUTICALS0.212,2302,146,350REDUCED-8.31
RYROYAL BK CDA1.24123,21412,426,600REDUCED-18.39
RYAAYRYANAIR HOLDINGS PLC0.3423,4223,410,010UNCHANGED0.00
SHELSHELL PLC0.79237,2937,924,220ADDED1.03
SHOPSHOPIFY INC1.16150,80011,633,100REDUCED-17.89
SHWSHERWIN WILLIAMS CO0.5616,0995,591,670REDUCED-8.63
SLBSCHLUMBERGER LTD0.000.000.00SOLD OFF-100
SLFSUN LIFE FINANCIAL INC.0.57104,5845,706,200REDUCED-18.06
SPGIS&P GLOBAL INC2.2853,67222,834,800REDUCED-11.44
SUSUNCOR ENERGY INC NEW0.86232,0838,564,570REDUCED-19.38
TCNTRICON RESIDENTIAL INC0.000.000.00SOLD OFF-100
TDTORONTO DOMINION BK ONT1.22202,63612,228,800REDUCED-18.06
TFIITFI INTL INC0.4427,7764,428,900REDUCED-8.15
TJXTJX COS INC NEW0.3534,9453,544,120REDUCED-8.1
TMOTHERMO FISHER SCIENTIFIC INC0.6811,6746,785,050REDUCED-7.77
TMUST-MOBILE US INC0.3722,4843,669,840REDUCED-12.63
TRPTC ENERGY CORP0.71176,0957,076,820REDUCED-6.26
TUTELUS CORPORATION0.48300,7084,810,350REDUCED-6.46
TXNTEXAS INSTRS INC0.2816,1232,808,790ADDED0.24
UBERUBER TECHNOLOGIES INC1.79232,21417,878,200ADDED7.31
UNHUNITEDHEALTH GROUP INC1.7635,51617,569,800ADDED47.52
UNPUNION PAC CORP0.8735,3738,699,280REDUCED-5.86
VVISA INC0.6824,4216,815,410REDUCED-8.31
VETVERMILION ENERGY INC0.50399,5454,966,920ADDED43.48
VLRSCONTROLADORA VUELA COMP DE A0.56750,8915,571,610ADDED0.52
WCNWASTE CONNECTIONS INC0.7342,4007,288,840REDUCED-18.02
WSCWILLSCOT MOBIL MINI HLDNG CO0.4699,5004,626,750REDUCED-55.53
XOMEXXON MOBIL CORP1.0187,31310,149,300REDUCED-10.15
YUMYUM BRANDS INC0.2518,1302,513,720REDUCED-8.52
ZTSZOETIS INC0.1710,0611,702,420REDUCED-16.32
APOLLO GLOBAL MGMT INC4.75422,70247,532,800REDUCED-2.22
BERKSHIRE HATHAWAY INC DEL2.0332.0020,302,100REDUCED-8.57
BROOKFIELD CORP1.23294,30112,314,000REDUCED-18.83
BERKSHIRE HATHAWAY INC DEL0.000.000.00SOLD OFF-100