BN-TO

BN-TO

BN-TO

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2025 Q2 Aug 20, 2025 Pershing Square Holdings - 15.5% AMZN, BN.TO, CMG, FMCC, FNMA, GOOGL, HHH, HLT, HTZ, NKE, QSR, UBER, UMG.AS AI, E-Commerce, large cap, Music, technology, Travel, value
2025 Q2 Jul 14, 2025 ROCKLINC Partners Fund 8.1% 8.9% AEM.TO, AMZN, APOG, BIP.TO, BN.TO, BUR.L, CCO.TO, FNV.TO, GROY, META, MKL, MSFT, OR.TO, RGLD, ROP, SAND.TO, TSU.TO, WPM.TO AI, Canada, energy, gold, Mining, nuclear, Precious Metals, uranium CCO.TO
CCO CN
2025 Q1 Apr 9, 2025 Mawer International Equity Fund 9.9% 9.9% AAPL, AJG, ALA.TO, AON, ASM, BA.L, BN.TO, BNS.TO, DB1.DE, GIB.A.TO, HO.PA, ICE, IFC.TO, LDO.MI, MMC, NVDA, RHM.DE, RY.TO, TD.TO, TSLA, TSM, X.TO AI, defense, Europe, Geopolitical, gold, tariffs, Trade Policy
2025 Q1 Apr 10, 2025 ROCKLINC Partners Fund 0.7% 0.7% AAPL, AEM.TO, AMZN, BIP.TO, BN.TO, BUR.L, FNV.TO, GROY, KPGHF, MEG.TO, MKL, OR.TO, PGR, RGLD, ROP, SSL.TO, SU.PA, TSU.TO, WPM.TO Canada, gold, inflation, Precious Metals, royalties, tariffs, value KPGHF
2024 Q1 Apr 10, 2024 Purpose Investment Partners 3.0% 3.0% AAPL, BAC, BN.TO, CVE.TO, DISH, MCD, RY.TO, TCNNF, TD.TO, TLN, VST credit, energy, high yield, inflation, Power Generation, Preferred, Resilience CVE.TO
2025 Q1 Mar 31, 2025 Aristotle International Equity Fund 3.8% 3.8% 3064.T, 7532.T, 9983.T, ACN, AZN.L, BN.TO, CCO.TO, D05.SI, DEO, MG.TO, MUV2.DE, NEM.DE, ROG.SW, SAF.PA, SONY AI, gaming, international, nuclear, Quality, Reinsurance, Trade Policy, value 9983.T
ACN
CCO.TO
6758.T
MUV2.DE
2025 Q3 Oct 20, 2025 Purpose Investment Partners 4.6% 6.7% BE, BN.TO, DHC, ECN.TO, ENB.TO, FLNC, HOUS, HPP, IVQ.TO, LDI, RITM, TA.TO, TLN, VST AI, Canada, credit, energy, fixed income, high yield, Mortgage, real estate
2025 Q3 Oct 19, 2025 EdgePoint Global - - 6702.T, AAPL, ALFA.ST, AME, AMG, AMS.PA, AMZN, APO, ATD.TO, AVGO, BAC, BAES.L, BERY, BKNG, BN.TO, CFR.SW, CSX, ELV, FFH.TO, FLS, FNV.TO, GIB.A.TO, GOOGL, ICE, JLL, LECO, MAT, META, MIDD, MMC, MSFT, MSI, NFLX, NSC, NVDA, PEY.TO, PM, PSMT, QCOM, QSR, RBA.TO, ROST, SAF.PA, SAP, TEL, TSM, UNVR, VRTX active management, AI, Concentration, global, Quality, technology, value Franco-Nevada Corporation
Mattel Inc.
SAP SE
TE Connectivity plc
AMA SM
2024 Q4 Jan 21, 2025 The Bristol Gate U.S. Equity Strategy -5.2% 9.1% AMAT, ATD.TO, AVGO, BN.TO, CARR, CIGI.TO, CNR.TO, CSX, CTAS, CTVA, DOL.TO, EFN.TO, EQB.TO, ESL.TO, IFC.TO, LLY, MCHP, MCK, OTEX.TO, PBH.TO, SJ.TO, TFII.TO, TRI.TO, UNH, V, WAB, WCN, X.TO, ZTS AI, Concentration, dividends, semiconductors, underperformance, value
2023 Q4 Jan 19, 2024 The Bristol Gate U.S. Equity Strategy - 23.9% AMT, ATVI, AVGO, BN.TO, CARR, CIGI.TO, CTAS, CTVA, DOL.TO, HON, IFC.TO, JWEL.TO, LOW, MSFT, PBH.TO, SHW, TMO, UNH dividends, financials, HVAC, industrials, Quality, technology, value CARR
2025 Q4 Jan 15, 2026 ROCKLINC Partners Fund 0.7% 20.3% AAPL, ACA, AEM.TO, AMZN, APG, BIP.TO, BN.TO, BUR.L, CCO.TO, CSL, DHR, FNV.TO, GROY, KNSL, KPG.AX, MELI, MKL, NOW, OR.V, PLD, RGLD, ROP, RPRX, SII.TO, TSU.TO, WPM.TO active management, Canada, ETFs, gold, Precious Metals, Silver, uranium, value SII

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Apr 13, 2026 Fund Letters Aristotle International Equity Fund Brookfield Corporation Financials Asset Management & Custody Banks Bull Toronto Stock Exchange Alternative Asset Manager, capital allocation, energy transition, infrastructure, Private markets, Real Estate, renewable energy, Share Buybacks
Apr 13, 2026 Fund Letters Aristotle/Saul Global Equity Fund Brookfield Corporation Financials Asset Management & Custody Banks Bull Toronto Stock Exchange Alternative Asset Manager, capital raising, energy transition, infrastructure, Owner operator, Private markets, Renewable Power, Share Buybacks

BSD Shareholders of BN-TO

This report provides a detailed summary of investor holdings for a specified stock ticker, highlighting key metrics such as fund name, total assets under management (AUM), invested value, portfolio weight, and shares owned. It also tracks changes in share ownership during the last quarter, including the percentage of shares bought or sold and the percentage of outstanding shares owned. The data is generated using an API that processes investor holdings and calculates these values for each fund. This report helps investors and analysts monitor the stock positions of major funds, identify investment trends, and assess the influence of large investors on individual stocks.

Filing Date: September 30, 2025
Manager Name Fund Name Fund AUM Invested Value Portfolio Weight Shares Owned Shares Bought / Sold During Quarter % Bought / Sold During Quarter % of Shares Outstanding Owned
No investor data available.