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Institutional

Dixon Mitchell Investment Counsel Inc.

CIK 0001993485
$2.88B
Reported AUM
140
Positions
Q1 2026
Period
2026-05-14
Filed

The Brief · Dixon Mitchell Investment Counsel Inc. · Q1 2026

AI · grounded in 13F

Dixon Mitchell Investment Counsel Inc. established a new position in Spotify Technology SA SPOT valued at $54.33M. The fund significantly increased its holdings in Cadence Design Systems Inc CDNS, Triple Flag Precious Metals Co TFPM, and Netflix Inc NFLX. Conversely, the manager reduced exposure to Apple Inc AAPL and Middleby Corp/The MIDD, trimming both positions by over 99%.

Portfolio · Q1 2026

IEFA$224.2MTDRYMSFTGOOGLWPMMEOHVICEBERKSHITMOTFIIOther$1.36BDI

Top holdings

QoQ vs Q4 2025

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1IEFAiShares Core MSCI EAFE ETF$95.56-2.60%18.86%46.61%$224.2M7.79%298,714−10.8%
2TDToronto-Dominion Bank/The$113.16-0.52%63.73%107.71%$139.5M4.85%102,726−6.4%
3RYRoyal Bank of Canada$194.04-0.48%54.50%126.91%$130.9M4.55%59,476−6.8%
4MSFTMicrosoft Corp$416.67-2.66%-10.71%52.39%$127.2M4.42%+19,506+6.0%
5GOOGLAlphabet Inc$368.53-0.98%112.92%175.80%$126.7M4.40%109,314−19.9%
6WPMWheaton Precious Metals Corp$116.23-9.50%31.44%165.71%$121.9M4.24%5,966−0.6%
7MEOHMethanex Corp$57.62-5.11%77.07%85.28%$116.0M4.03%97,113−4.7%
8VVisa Inc$323.571.06%-11.91%36.33%$115.6M4.02%2,331−0.6%
9ICEIntercontinental Exchange Inc$141.50-0.39%-19.88%25.58%$110.3M3.83%4,619−0.7%
10BRK/BBerkshire Hathaway Inc$104.8M3.64%1,545−0.7%
11TMOThermo Fisher Scientific Inc$472.80-1.91%18.07%-11.30%$102.7M3.57%2,124−1.0%
12TFIITFI International Inc$159.50-0.51%83.56%50.51%$96.4M3.35%21,174−2.3%
13BIPBrookfield Infrastructure Part$38.80-0.59%20.10%33.92%$86.1M2.99%53,548−2.2%
14AMEAMETEK Inc$226.55-0.97%27.85%68.06%$85.7M2.98%1,955−0.5%
15CNQCanadian Natural Resources Ltd$45.70-4.11%47.96%249.86%$83.6M2.91%423,341−19.9%
16BNBrookfield Corp$44.60-1.00%14.26%59.83%$81.8M2.85%337,644−14.3%
17BGSIBOYD GROUP INC$103.11-1.07%-31.51%-35.22%$78.1M2.71%7,256−1.2%
18AMZNAmazon.com Inc$246.03-3.06%15.20%47.87%$61.5M2.14%2,200−0.7%
19HEIHEICO Corp$331.43-0.46%9.34%146.22%$55.2M1.92%2,401−1.2%
20SPOTSpotify Technology SA$496.950.68%-30.23%117.32%$54.3M1.89%+112,044NEW
21ROPRoper Technologies Inc$332.180.11%-41.57%-30.30%$51.8M1.80%1,019−0.7%
22LOWLowe's Cos Inc$210.741.55%-4.61%20.25%$49.9M1.73%1,531−0.7%
23TXNTexas Instruments Inc$285.06-6.65%52.30%72.38%$49.6M1.72%2,411−0.9%
24DPZDomino's Pizza Inc$313.992.11%-31.80%-36.32%$47.3M1.65%970−0.7%
25CNICanadian National Railway Co$120.380.74%16.95%21.55%$46.0M1.60%54,088−10.8%
26TFPMTriple Flag Precious Metals Co$28.27-7.01%18.52%133.21%$42.8M1.49%+671,898+119.1%
27NFLXNetflix Inc$82.180.76%-33.80%58.78%$38.1M1.33%+209,170+111.7%
28METAMeta Platforms Inc$593.00-5.51%-14.74%67.74%$37.1M1.29%414−0.6%
29HCAHCA Healthcare Inc$372.132.85%-2.53%56.04%$35.6M1.24%613−0.8%
30DHRDanaher Corp$184.30-1.25%-5.33%-28.54%$35.2M1.22%1,126−0.6%
31CSLCarlisle Cos Inc$345.980.99%$29.6M1.03%1,062−1.2%
32FTNTFortinet Inc$144.68-3.33%$27.6M0.96%3,345−1.0%
33TRI4EURThomson Reuters Corp$27.3M0.95%+92,681+44.0%
34JPMJPMorgan Chase & Co$312.370.48%$26.5M0.92%664−0.7%
35UBERUber Technologies Inc$70.71-2.08%$25.3M0.88%+140,253+66.1%
36DSGXDescartes Systems Group Inc/Th$75.46-3.14%$24.3M0.84%+8,399+2.5%
37CDNSCadence Design Systems Inc$376.19-8.62%$18.7M0.65%+66,660+8199.3%
38WCNWaste Connections Inc$155.220.82%$17.8M0.62%2,161−1.9%
39ACWXiShares MSCI ACWI ex U.S. ETF$73.92-3.88%$17.4M0.61%HELD
40CPCanadian Pacific Kansas City L$89.930.48%$17.2M0.60%78,415−26.4%
41MELIMercadoLibre Inc$1607.80-1.65%$14.4M0.50%+4,050+95.3%
42MAMastercard Inc$491.081.93%$12.0M0.42%224−0.9%
43SHOPShopify Inc$109.54-5.60%$9.5M0.33%1,612−2.0%
44CERTCertara Inc$5.37-4.28%$8.8M0.30%8,423−0.5%
45CIGIColliers International Group I$97.16-0.35%$8.4M0.29%+5,000+6.8%
46BLDTopBuild Corp$401.82-1.11%$7.1M0.25%14,902−42.5%
47HDBHDFC Bank Ltd$23.41-2.58%$6.5M0.23%+263,000NEW
48SESea Ltd$86.56-6.00%$6.1M0.21%+27,000+57.4%
49ATSATS Corp$26.92-4.74%$5.9M0.21%HELD
50PACGrupo Aeroportuario del Pacifi$228.80-4.52%$5.6M0.19%+22,700NEW
51IBNICICI Bank Ltd$25.95-0.54%$4.2M0.15%+164,000NEW
52RIORio Tinto PLC$100.69-4.47%$2.4M0.08%+25,400NEW
53AGGiShares Core U.S. Aggregate Bo$98.17-0.50%$1.6M0.06%HELD
54SPYState Street SPDR S&P 500 ETF$737.55-2.58%$1.0M0.04%HELD
55GOOGAlphabet Inc$365.76-0.95%$1.0M0.03%503−12.6%
56BNSBank of Nova Scotia/The$80.56-1.02%$636K0.02%635−6.8%
57MUMicron Technology Inc$864.01-13.25%$623K0.02%HELD
58AEMAgnico Eagle Mines Ltd$163.66-7.41%$597K0.02%75−2.5%
59BMOBank of Montreal$164.37-0.51%$488K0.02%50−1.4%
60AVGOBroadcom Inc$385.73-7.92%$455K0.02%25−1.7%
61ENBEnbridge Inc$56.31-0.76%$432K0.02%HELD
62KGCKinross Gold Corp$26.22-8.32%$422K0.01%HELD
63TRPTC Energy Corp$68.68-0.39%$380K0.01%75−1.2%
64MFCManulife Financial Corp$38.710.55%$377K0.01%3,892−26.9%
65LLYEli Lilly & Co$1131.420.55%$375K0.01%HELD
66NVDANVIDIA Corp$205.10-6.20%$342K0.01%30−1.5%
67SLFSun Life Financial Inc$73.721.04%$331K0.01%HELD
68SUSuncor Energy Inc$62.22-4.96%$331K0.01%165−3.2%
69FHNFirst Horizon Corp$24.16-0.37%$307K0.01%HELD
70NTRNutrien Ltd$67.20-2.61%$274K0.01%2,926−44.7%
71GEVGE Vernova Inc$933.61-3.09%$262K0.01%HELD
72MDBMongodb Inc Class A$350.74-7.74%$250K0.01%HELD
73AZNAstraZeneca PLC$185.952.28%$238K0.01%+1,206NEW
74TJXTJX Cos Inc/The$160.711.31%$232K0.01%HELD
75DISWalt Disney Co/The$99.710.37%$229K0.01%HELD
76EXEExpand Energy Corporation$92.07-1.42%$225K0.01%HELD
77INTCIntel Corp$99.17-11.28%$222K0.01%HELD
78BKNGBooking Holdings Inc$165.84-0.99%$219K0.01%HELD
79TMUST-Mobile US Inc$178.100.61%$205K0.01%HELD
80COFCapital One Finl Corp$180.67-1.38%$200K0.01%+1,095NEW
81WMSAdvanced Drainage Systems Inc$130.15-0.80%$194K0.01%HELD
82ACMAecom$71.14-2.12%$188K0.01%HELD
83ALCAlcon AG$66.810.35%$187K0.01%HELD
84CCJCameco Corp$103.44-9.28%$178K0.01%HELD
85PBAPembina Pipeline Corp$48.82-0.87%$168K0.01%95−2.5%
86SLBSLB Ltd$54.87-5.41%$166K0.01%HELD
87MRSHMarsh & McLennan Cos Inc$165.442.59%$164K0.01%HELD
88AMDAdvanced Micro Devices Inc$466.38-10.86%$164K0.01%HELD
89TECKTeck Resources Ltd$61.67-8.34%$163K0.01%HELD
90BIOBio-Rad Laboratories Inc$294.32-4.28%$153K0.01%HELD
91DVNDevon Energy Corp$44.28-3.72%$152K0.01%HELD
92AAPLApple Inc$307.34-1.25%$148K0.01%124,581−99.7%
93IRIngersoll Rand Inc$72.250.33%$148K0.01%HELD
94FTSFortis Inc/Canada$55.901.21%$147K0.01%HELD
95SGOViShares 0-3 Month Treasury Bon$100.450.03%$145K0.01%602−29.5%
96UNHUnitedHealth Group Inc$399.470.76%$144K0.01%HELD
97PHParker-Hannifin Corp$882.341.16%$142K0.00%HELD
98TTWOTake Two Interactive SFTWR Inc$214.39-1.04%$139K0.00%HELD
99APTVAptiv PLC$68.60-5.92%$135K0.00%HELD
100GIBCGI Inc$67.28-0.22%$132K0.00%25−1.4%
101RRXRegal Rexnord Corporation$131K0.00%HELD
102ORCLOracle Corp$127K0.00%29−12.1%
103OEFiShares S&P 100 ETF$127K0.00%HELD
104APOApollo Global Management Inc$124K0.00%HELD
105ADSKAutodesk Inc$119K0.00%HELD
106IJHiShares Core S&P Mid-Cap ETF$118K0.00%HELD
107PGRProgressive Corp/The$112K0.00%25−4.2%
108RIVNRivian Automotive Inc$112K0.00%HELD
109BCEBCE Inc$106K0.00%HELD
110NOWServiceNow Inc$100K0.00%HELD
111CMSCMS Energy Corp$93K0.00%HELD
112MIDDMiddleby Corp/The$82K0.00%150,566−99.7%
113LINLinde PLC$82K0.00%HELD
114DTDynatrace Inc$69K0.00%HELD
115ONTMontrose Environmental Group$66K0.00%HELD
116MASRTS-Masco Corp$63K0.00%HELD
117QQQInvesco QQQ Trust Series 1$63K0.00%HELD
118PINSPinterest Inc Class A$60K0.00%HELD
119ZTSZoetis Inc$59K0.00%41−7.6%
120MSAMsa Safety Inc$58K0.00%HELD
121BSVVanguard Short-Term Bond ETF$55K0.00%HELD
122KOCoca-Cola Co/The$39K0.00%398−43.7%
123CMCSAComcast Corp$36K0.00%744−60.0%
124GILGildan Activewear Inc$30K0.00%HELD
125GBTCGrayscale Bitcoin Trust ETF$22K0.00%HELD
126LSPDLightspeed Commerce Inc$22K0.00%HELD
127SPGIS&P Global Inc$15K0.00%HELD
128RCIRogers Communications Inc$12K0.00%160−47.8%
129SPYMSPDR Series TR State Stret ETF$10K0.00%+130NEW
130MICCMagnum Ice Cream Company$9K0.00%HELD
131ARKKARK Innovation ETF$9K0.00%HELD
132TUTELUS Corp$4K0.00%+6+2.3%
133OTEXOpen Text Corp$3K0.00%115−44.2%
134SMMDiShares TR Russell 2500 ETF$3K0.00%+34NEW
135BTCGrayscale Bitcoin Mini Trust E$3K0.00%HELD
136SCZiShares MSCI EAFE Small-Cap ET$2K0.00%+20NEW
137IUSBiShares TR Core Universal ETF$1K0.00%+26NEW
138VSNTVersant Media Group CL A$7030.00%+19NEW
139ORIOOrion Digital Corp$6850.00%+713NEW
140USHYiShares TR ETF$5890.00%+16NEW
141FNVFranco-Nevada Corp50EXITED
142APHAmphenol Corp45EXITED
143BSXBoston Scientific Corp60EXITED
144ASMLAsml Holding NV5EXITED
145AGIAlamos Gold Inc125EXITED
146CRWDCrowdstrike Holdings Inc CL A10EXITED
147GEGeneral Electric Co15EXITED
148BBarrick Mining Corp105EXITED
149MGAMagna International Inc80EXITED
150BAMBrookfield Asset Management Lt80EXITED
151EQTEQT Corp75EXITED
152BXBlackstone Inc25EXITED
153ISRGIntuitive Surgical Inc5EXITED
154RTXRTX Corp15EXITED
155NVONovo Nordisk A/S50EXITED
156WCCWESCO International Inc10EXITED
157CVECenovus Energy Inc140EXITED
158LDOSLeidos HLDGS Inc10EXITED
159DCFEUROrion Digital Corp713EXITED

Source: SEC EDGAR · accession 0001993485-26-000003. 13F discloses long positions only — shorts, foreign equities, and options are excluded.