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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

BANK OF NOVA SCOTIA INSTITUTION : BANK OF NOVA SCOTIA
BANK OF NOVA SCOTIA Portfolio (reported on 2020-02-13)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
ROYAL BK CDA MONTREAL QUE    (COM) RY 1,821,581,000 23,021,812 4.43%
TORONTO DOMINION BK ONT    (COM NEW) TD 1,520,388,000 27,107,753 3.69%
MICROSOFT CORP    (COM) MSFT 940,132,000 5,961,523 2.28%
CDN IMPERIAL BK COMM TORONTO    (COM) CM 890,301,000 10,699,191 2.16%
BANK MONTREAL QUE    (COM) BMO 853,151,000 11,008,686 2.07%
ENBRIDGE INC    (COM) ENB 830,035,000 20,875,512 2.01%
BCE INC    (COM NEW) BCE 622,188,000 13,429,397 1.51%
ALPHABET INC    (CAP STK CL A) GOOGL 618,936,000 462,103 1.50%
BROOKFIELD ASSET MGMT INC    (CL A LTD VT SH) BAM 609,505,000 10,548,510 1.48%
CANADIAN NATL RY CO    (COM) CNI 591,995,000 6,543,868 1.43%
FACEBOOK INC    (CL A) FB 571,592,000 2,784,859 1.39%
MANULIFE FINL CORP    (COM) MFC 536,327,000 26,419,614 1.30%
ISHARES INC    (CORE MSCI EMKT) IEMG 529,953,000 9,857,770 1.28%
SUNCOR ENERGY INC NEW    (COM) SU 525,842,000 16,043,382 1.27%
AMAZON COM INC    (COM) AMZN 517,045,000 279,810 1.25%
SPDR SERIES TRUST    (S&P BIOTECH) XBI 479,886,000 5,045,600 1.16%
JOHNSON & JOHNSON    (COM) JNJ 416,359,000 2,854,316 1.01%
ALLERGAN PLC    (SHS) AGN 400,338,000 2,094,147 0.97%
ISHARES TR    (MSCI AC ASIA ETF) 399,545,000 5,436,007 0.97%
SUN LIFE FINL INC    (COM) SLF 382,822,000 8,395,484 0.93%
CANADIAN NAT RES LTD    (COM) CNQ 380,256,000 11,756,277 0.92%
NUTRIEN LTD    (COM) 363,273,000 7,587,469 0.88%
APPLE INC    (COM) AAPL 351,362,000 1,196,533 0.85%
SPDR SERIES TRUST    (S&P REGL BKG) KRE 349,500,000 6,000,000 0.85%
ISHARES TR    (JPMORGAN USD EMG) EMB 331,952,000 2,897,623 0.80%
JPMORGAN CHASE & CO    (COM) JPM 329,167,000 2,361,311 0.80%
CANADIAN PAC RY LTD    (COM) CP 325,700,000 1,277,599 0.79%
ISHARES TR    (RUSSELL 2000 ETF) IWM 324,826,000 1,960,682 0.79%
VERIZON COMMUNICATIONS INC    (COM) VZ 324,530,000 5,286,131 0.78%
PEMBINA PIPELINE CORP    (COM) PBNPF 322,249,000 8,693,970 0.78%
SHOPIFY INC    (CL A) 313,442,000 788,311 0.76%
TELUS CORP    (COM) TULCF 291,640,000 7,531,708 0.70%
ISHARES TR    (CORE S&P500 ETF) IVV 287,556,000 889,623 0.69%
FORTIS INC    (COM) FRTSF 281,332,000 6,780,078 0.68%
AT&T INC    (COM) T 280,433,000 7,175,893 0.68%
BARRICK GOLD CORPORATION    (COM) ABX 277,195,000 14,922,809 0.67%
ISHARES TR    (IBOXX HI YD ETF) HYG 272,561,000 3,099,400 0.66%
CREDICORP LTD    (COM) BAP 272,318,000 1,277,706 0.66%
ROGERS COMMUNICATIONS INC    (CL B) RCI 267,327,000 5,383,452 0.65%
DISNEY WALT CO    (COM DISNEY) DIS 264,836,000 1,831,133 0.64%
PROCTER & GAMBLE CO    (COM) PG 259,569,000 2,078,216 0.63%
VALE S A    (SPONSORED ADS) VALE 250,272,000 18,960,000 0.60%
SELECT SECTOR SPDR TR    (SBI INT-UTILS) XLU 244,587,000 3,785,000 0.59%
MERCK & CO INC    (COM) MRK 232,581,000 2,557,229 0.56%
SPDR SERIES TRUST    (S&P RETAIL ETF) XRT 230,050,000 5,000,000 0.55%
VANECK VECTORS ETF TR    (JP MORGAN MKTS) 227,952,000 6,702,500 0.55%
PFIZER INC    (COM) PFE 219,820,000 5,610,527 0.53%
COCA COLA CO    (COM) KO 215,095,000 3,886,082 0.52%
INVESCO QQQ TR    (UNIT SER 1) 212,610,000 1,000,000 0.51%
VANECK VECTORS ETF TRUST    (SEMICONDUCTOR ET) 212,333,000 1,499,947 0.51%
COMCAST CORP NEW    (CL A) CMCSA 199,383,000 4,433,704 0.48%
THERMO FISHER SCIENTIFIC INC    (COM) TMO 193,009,000 594,111 0.46%
ALPHABET INC    (CAP STK CL C) GOOG 190,725,000 142,650 0.46%
ISHARES INC    (MSCI JPN ETF NEW) 185,522,000 3,131,708 0.45%
SHAW COMMUNICATIONS INC    (CL B CONV) SJR 184,337,000 9,084,132 0.44%
LINDE PLC    (SHS) 183,405,000 861,463 0.44%
ISHARES TR    (CORE US AGGBD ET) AGG 183,351,000 1,631,670 0.44%
RAYTHEON CO    (COM NEW) RTN 178,344,000 811,697 0.43%
RESTAURANT BRANDS INTL INC    (COM) QSR 175,616,000 2,754,824 0.42%
WASTE CONNECTIONS INC    (COM) 174,561,000 1,921,721 0.42%
HOME DEPOT INC    (COM) HD 165,416,000 756,736 0.40%
FRANCO NEVADA CORP    (COM) FNNVF 163,548,000 1,583,767 0.39%
BANK AMER CORP    (COM) BAC 158,355,000 4,496,212 0.38%
INTEL CORP    (COM) INTC 156,682,000 2,617,922 0.38%
PHILIP MORRIS INTL INC    (COM) PM 156,143,000 1,835,029 0.37%
MASTERCARD INC    (CL A) MA 152,642,000 511,275 0.37%
WALMART INC    (COM) WMT 152,138,000 1,280,191 0.37%
VANECK VECTORS ETF TRUST    (JR GOLD MINERS E) 150,421,000 3,559,409 0.36%
ISHARES INC    (MSCI BRAZIL ETF) EWZ 145,341,000 3,063,170 0.35%
MAGNA INTL INC    (COM) MGA 144,832,000 2,641,353 0.35%
CISCO SYS INC    (COM) CSCO 143,508,000 2,992,267 0.34%
GENERAL ELECTRIC CO    (COM) GE 143,368,000 12,849,097 0.34%
WELLCARE HEALTH PLANS INC    (COM) WCG 142,484,000 431,645 0.34%
ISHARES INC    (MSCI EURZONE ETF) EZU 138,043,000 3,293,060 0.33%
STARBUCKS CORP    (COM) SBUX 137,887,000 1,568,322 0.33%
LILLY ELI & CO    (COM) LLY 135,911,000 1,034,096 0.33%
CHEVRON CORP NEW    (COM) CVX 131,516,000 1,091,333 0.31%
ANTHEM INC    (NOTE 2.750%10/1) 130,186,000 31,020,437 0.31%
ORACLE CORP    (COM) ORCL 129,503,000 2,444,418 0.31%
PEPSICO INC    (COM) PEP 129,252,000 945,717 0.31%
WELLS FARGO CO NEW    (COM) WFC 129,250,000 2,401,493 0.31%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 123,749,000 921,385 0.30%
AGNICO EAGLE MINES LTD    (COM) AEM 123,701,000 2,008,330 0.30%
BRISTOL MYERS SQUIBB CO    (COM) BMY 119,869,000 1,867,415 0.29%
ISHARES TR    (IBOXX INV CP ETF) LQD 117,722,000 919,993 0.28%
BIOGEN INC    (COM) BIIB 117,531,000 396,087 0.28%
HONEYWELL INTL INC    (COM) HON 117,091,000 661,534 0.28%
CENOVUS ENERGY INC    (COM) CVE 114,927,000 11,305,537 0.27%
NVIDIA CORP    (COM) NVDA 114,507,000 486,642 0.27%
UNION PACIFIC CORP    (COM) UNP 112,136,000 620,256 0.27%
WHEATON PRECIOUS METALS CORP    (COM) 111,829,000 3,758,045 0.27%
VANGUARD TAX MANAGED INTL FD    (FTSE DEV MKT ETF) VEA 110,150,000 2,500,000 0.26%
SPDR SERIES TRUST    (BLOOMBERG BRCLYS) 109,540,000 1,000,000 0.26%
UNITEDHEALTH GROUP INC    (COM) UNH 109,478,000 372,396 0.26%
MOODYS CORP    (COM) MCO 108,173,000 455,639 0.26%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 106,743,000 506,922 0.25%
VANECK VECTORS ETF TRUST    (GOLD MINERS ETF) GDX 105,899,000 3,616,541 0.25%
MONDELEZ INTL INC    (CL A) MDLZ 103,648,000 1,881,771 0.25%
EXXON MOBIL CORP    (COM) XOM 103,090,000 1,477,353 0.25%
SHERWIN WILLIAMS CO    (COM) SHW 102,640,000 175,892 0.24%
CAESARS ENTMT CORP    (COM) CZR 102,530,000 7,539,969 0.24%
GENERAL DYNAMICS CORP    (COM) GD 101,896,000 577,809 0.24%
GILEAD SCIENCES INC    (COM) GILD 101,403,000 1,560,542 0.24%
OPEN TEXT CORP    (COM) OTEX 100,121,000 2,272,057 0.24%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK/B 99,913,000 441,116 0.24%
COSTCO WHSL CORP NEW    (COM) COST 99,663,000 339,086 0.24%
VANGUARD INTL EQUITY INDEX F    (TT WRLD ST ETF) 95,371,000 1,177,564 0.23%
LOCKHEED MARTIN CORP    (COM) LMT 90,793,000 233,173 0.22%
VANGUARD INTL EQUITY INDEX F    (FTSE EMR MKT ETF) VWO 90,567,000 2,036,579 0.22%
QUALCOMM INC    (COM) QCOM 90,317,000 1,023,649 0.21%
ALGONQUIN PWR UTILS CORP    (COM) AQUNF 89,489,000 6,325,664 0.21%
ZOETIS INC    (CL A) ZTS 85,318,000 644,633 0.20%
SPDR SERIES TRUST    (S&P OILGAS EXP) XOP 85,023,000 3,587,439 0.20%
TJX COS INC NEW    (COM) TJX 84,016,000 1,375,945 0.20%
INTUIT    (COM) INTU 83,883,000 320,247 0.20%
SPDR GOLD TRUST    (GOLD SHS) GLD 83,597,000 585,000 0.20%
CITIGROUP INC    (COM NEW) C 81,668,000 1,022,276 0.19%
NIKE INC    (CL B) NKE 80,292,000 792,541 0.19%
FIDELITY NATL INFORMATION SV    (COM) FIS 79,073,000 568,502 0.19%
BOEING CO    (COM) BA 78,604,000 241,296 0.19%
BAUSCH HEALTH COS INC    (COM) 78,449,000 2,620,682 0.19%
MEDTRONIC PLC    (SHS) MDT 77,885,000 686,510 0.18%
KINROSS GOLD CORP    (COM) KGC 77,023,000 16,236,210 0.18%
VALERO ENERGY CORP NEW    (COM) VLO 76,195,000 814,846 0.18%
AGILENT TECHNOLOGIES INC    (COM) A 75,964,000 890,449 0.18%
ADOBE INC    (COM) ADBE 74,886,000 227,060 0.18%
METLIFE INC    (COM) MET 74,550,000 1,462,507 0.18%
SPDR S&P 500 ETF TR    (TR UNIT) SPY 74,188,000 230,533 0.18%
EXELON CORP    (COM) EXC 72,833,000 1,597,577 0.17%
DUPONT DE NEMOURS INC    (COM) 72,776,000 1,133,590 0.17%
TECK RESOURCES LTD    (CL B) TCK 72,676,000 4,190,499 0.17%
ECOLAB INC    (COM) ECL 72,454,000 375,433 0.17%
MORGAN STANLEY    (COM NEW) MS 72,147,000 1,411,646 0.17%
ISHARES TR    (MSCI CHINA ETF) MCHI 72,091,000 1,124,860 0.17%
VANGUARD INDEX FDS    (REAL ESTATE ETF) VNQ 69,593,000 750,000 0.16%
YUM BRANDS INC    (COM) YUM 69,016,000 685,150 0.16%
COGNIZANT TECHNOLOGY SOLUTIO    (CL A) CTSH 68,821,000 1,109,671 0.16%
FORD MTR CO DEL    (COM) F 66,637,000 7,165,368 0.16%
MCDONALDS CORP    (COM) MCD 66,598,000 337,018 0.16%
BANCO BRADESCO S A    (SP ADR PFD NEW) BBD 65,962,000 7,370,000 0.16%
KIRKLAND LAKE GOLD LTD    (COM) 64,990,000 1,474,302 0.15%
DXC TECHNOLOGY CO    (COM) 64,531,000 1,716,711 0.15%
DOLLAR GEN CORP NEW    (COM) DG 64,088,000 410,871 0.15%
SELECT SECTOR SPDR TR    (SBI INT-INDS) XLI 63,643,000 781,181 0.15%
LAM RESEARCH CORP    (COM) LRCX 63,223,000 216,221 0.15%
3M CO    (COM) MMM 62,678,000 355,277 0.15%
FIRST REP BK SAN FRANCISCO C    (COM) FRC 62,490,000 532,101 0.15%
BRF SA    (SPONSORED ADR) PDA 62,292,000 7,160,000 0.15%
WABCO HLDGS INC    (COM) WBC 61,941,000 457,163 0.15%
EOG RES INC    (COM) EOG 61,261,000 731,380 0.14%
L3HARRIS TECHNOLOGIES INC    (COM) 60,013,000 303,294 0.14%
CENTURYLINK INC    (COM) CTL 59,531,000 4,506,487 0.14%
IMPERIAL OIL LTD    (COM NEW) IMO 59,429,000 2,246,527 0.14%
ISHARES INC    (MSCI GERMANY ETF) EWG 58,355,000 1,984,942 0.14%
AMGEN INC    (COM) AMGN 58,307,000 241,867 0.14%
GOLDMAN SACHS GROUP INC    (COM) GS 58,127,000 252,800 0.14%
ENCANA CORP    (COM) ECA 57,685,000 12,319,807 0.14%
BOOKING HLDGS INC    (COM) 56,811,000 27,662 0.13%
CME GROUP INC    (COM) CME 56,693,000 282,445 0.13%
FISERV INC    (COM) FISV 56,654,000 489,964 0.13%
CVS HEALTH CORP    (COM) CVS 56,313,000 758,007 0.13%
NORTHROP GRUMMAN CORP    (COM) NOC 55,709,000 161,589 0.13%
VANGUARD INTL EQUITY INDEX F    (ALLWRLD EX US) VEU 53,750,000 1,000,000 0.13%
NEWMONT GOLDCORP CORPORATION    (COM) NEM 53,392,000 1,228,617 0.12%
GILDAN ACTIVEWEAR INC    (COM) GIL 52,409,000 1,772,675 0.12%
AUTOMATIC DATA PROCESSING IN    (COM) ADP 52,002,000 304,996 0.12%
TRUIST FINL CORP    (COM) 50,810,000 902,166 0.12%
TEXAS INSTRS INC    (COM) TXN 50,741,000 395,523 0.12%
COUPA SOFTWARE INC    (NOTE 0.375% 1/1) 49,907,000 15,196,000 0.12%
CONOCOPHILLIPS    (COM) COP 49,245,000 757,266 0.11%
LAUDER ESTEE COS INC    (CL A) EL 48,291,000 233,813 0.11%
GENERAL MTRS CO    (COM) GM 46,786,000 1,278,299 0.11%
BROADCOM INC    (COM) 46,721,000 147,840 0.11%
SELECT SECTOR SPDR TR    (SBI MATERIALS) XLB 46,065,000 750,000 0.11%
SERVICENOW INC    (COM) NOW 45,047,000 159,559 0.10%
MARATHON PETE CORP    (COM) MPC 44,420,000 737,269 0.10%
NETFLIX INC    (COM) NFLX 43,609,000 134,775 0.10%
EDWARDS LIFESCIENCES CORP    (COM) EW 43,529,000 186,588 0.10%
INTUITIVE SURGICAL INC    (COM NEW) ISRG 43,231,000 73,129 0.10%
TARGET CORP    (COM) TGT 43,062,000 335,874 0.10%
EXPEDIA GROUP INC    (COM NEW) EXPE 42,940,000 397,096 0.10%
ZAYO GROUP HLDGS INC    (COM) ZAYO 42,827,000 1,236,000 0.10%
IAA INC    (COM) 42,338,000 900,300 0.10%
S&P GLOBAL INC    (COM) SPGI 41,568,000 152,236 0.10%
NORTONLIFELOCK INC    (COM) 41,257,000 1,616,644 0.10%
CAPITAL ONE FINL CORP    (COM) COF 41,072,000 399,113 0.09%
VERMILION ENERGY INC    (COM) VEMTF 41,055,000 2,511,067 0.09%
HCA HEALTHCARE INC    (COM) HCA 39,528,000 267,423 0.09%
ALTRIA GROUP INC    (COM) MO 39,220,000 785,811 0.09%
HILTON WORLDWIDE HLDGS INC    (COM) 38,478,000 346,924 0.09%
VIACOMCBS INC    (CL B) 38,470,000 916,623 0.09%
AMERICAN EXPRESS CO    (COM) AXP 37,112,000 298,112 0.09%
SALESFORCE COM INC    (COM) CRM 37,063,000 227,882 0.09%
APPLIED MATLS INC    (COM) AMAT 36,987,000 605,937 0.08%
PALO ALTO NETWORKS INC    (COM) PANW 35,874,000 155,131 0.08%
CANOPY GROWTH CORP    (COM) 35,482,000 1,687,033 0.08%
O REILLY AUTOMOTIVE INC NEW    (COM) ORLY 35,473,000 80,942 0.08%
IAC INTERACTIVECORP    (COM) IACI 35,201,000 141,307 0.08%
ABBOTT LABS    (COM) ABT 34,762,000 400,208 0.08%
ULTA BEAUTY INC    (COM) ULTA 34,720,000 137,156 0.08%
1 2 3 4 5 Next >Full Portfolio View
Total Value As 2019-12-31: 41,114,073,000 SEC FILING
* Portfolios do not reflect changes after reporting
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