Lincluden Management Ltd (1058231) Portfolio


Number of Companies: 70
Inflow: $78,150 K
Outflow: $-9,532 K
Net Flow: $68,618 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
2560 66 Encana Corp (ECA) Exploration And Production 2,460,270 New Holding 2,460,270 $6.09 $14,983 $14,983
2790 12 Royal Bank Of Canada (RY) Diversified Banks 688,036 Added More 113,895 $57.56 $6,555 $39,603
2746 13 Potash Corp Of Saskatchewan (POT) Agricultural Chemicals 605,315 Added More 337,685 $17.02 $5,747 $10,302
2867 22 Manulife Financial Corp (MFC) Life Insurance 1,726,315 Added More 393,810 $14.13 $5,564 $24,392
9 1 Devon Energy Corp (DVN) Exploration And Production 215,233 Added More 194,475 $27.44 $5,336 $5,905
2772 10 Cenovus Energy Inc (CVE) Integrated Oils 1,581,041 Added More 347,340 $13.00 $4,515 $20,553
2976 33 Oracle Corp (ORCL) Infrastructure Software 204,349 Added More 110,015 $40.91 $4,500 $8,359
2892 267 Toronto-Dominion Bank (TD) Banks 883,468 Added More 88,630 $43.13 $3,822 $38,103
2802 266 Can Imperial Bk Of Commerce (CM) Banks 199,162 Added More 50,680 $74.70 $3,786 $14,879
232 19 Brandywine Realty Trust (BDN) Reit 192,550 New Holding 192,550 $14.03 $2,701 $2,701
3061 12 Chevron Corp (CVX) Integrated Oils 41,955 Added More 25,105 $95.40 $2,395 $4,002
213 1 Shaw Communications Inc-B (SJR) Cable And Satellite 565,941 Added More 118,685 $19.30 $2,291 $10,928
2639 9 Thomson Reuters Corp (TRI) Recreational Vehicles 309,425 Added More 51,910 $40.48 $2,101 $12,525
2288 49 Rogers Communications Inc-B (RCI) Telecom Carriers 552,872 Added More 52,460 $40.02 $2,099 $22,125
200 13 Enerplus Corp (ERF) Exploration And Production 1,756,015 Added More 406,195 $3.93 $1,596 $6,901
2698 15 Bed Bath And Beyond Inc (BBBY) Home Products Stores 157,445 Added More 25,380 $49.63 $1,259 $7,815
3011 13 Citigroup Inc (C) Diversified Banks 141,325 Added More 28,190 $41.75 $1,176 $5,900
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 45,054 Added More 13,510 $83.58 $1,129 $3,766
2488 23 Magna International Inc (MGA) Auto Parts 98,931 Added More 22,380 $42.95 $961 $4,250
2994 16 Corning Inc (GLW) Electronics Components 437,472 Added More 45,645 $20.88 $953 $9,138
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 119,453 Added More 29,175 $28.46 $830 $3,400
402 31 Summit Hotel Properties Inc (INN) Reit 195,874 Added More 48,181 $11.97 $576 $2,344
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 89,343 Added More 8,860 $54.38 $481 $4,858
304 1 Total Sa (TOT) Integrated Oils 57,670 Added More 9,770 $45.41 $443 $2,619
2341 4 Abb Ltd (ABB) Electrical Power Equipment 118,543 Added More 18,545 $19.42 $360 $2,302
3019 8 Union Pacific Corp (UNP) Rail Freight 34,975 Added More 3,940 $79.55 $313 $2,782
3031 8 Pfizer Inc (PFE) Large Pharma 160,972 Added More 9,925 $29.63 $294 $4,771
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 42,908 Added More 3,450 $68.48 $236 $2,938
3023 7 Merck And Co Inc (MRK) Large Pharma 34,155 Added More 4,115 $52.91 $217 $1,807
3047 19 Honeywell International Inc (HON) Comml And Res Bldg Equip And Sys 39,774 Added More 1,585 $112.05 $177 $4,456
3072 34 Microsoft Corp (MSFT) Infrastructure Software 113,710 Added More 1,760 $55.23 $97 $6,280
3076 10 Johnson And Johnson (JNJ) Large Pharma 111,468 Added More 850 $108.19 $91 $12,060
2950 8 General Motors Co (GM) Automobiles 56,155 Added More 2,315 $31.43 $72 $1,764
3036 50 American International Group (AIG) P And C Insurance 151,656 Added More 1,345 $54.04 $72 $8,197
2902 23 Metlife Inc (MET) Life Insurance 145,635 Added More 1,605 $43.93 $70 $6,399
2894 15 Morgan Stanley (MS) Institutional Brokerage 224,065 Added More 2,440 $25.01 $61 $5,603
2778 11 Bank Of America Corp (BAC) Diversified Banks 418,551 Added More 3,955 $13.52 $53 $5,658
3050 14 Wells Fargo And Co (WFC) Diversified Banks 181,662 Added More 925 $48.36 $44 $8,785
2508 4 Sanofi (SNY) Large Pharma 56,442 Added More 1,050 $40.16 $42 $2,266
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 132,929 Added More 635 $59.22 $37 $7,872
239 2 Bluechip Stockspin Ltd (BCS) Diversified Banks 161,122 Added More 4,010 $8.62 $34 $1,388
1799 38 Sierra Wireless Inc (SWIR) Communications Equipment 1,545 New Holding 1,545 $14.54 $22 $22
3029 24 Coca-Cola Cothe (KO) Beverages 70,996 Added More 305 $46.38 $14 $3,293
734 56 Ing Groep Nv (ING) Banks 251,839 Added More 1,130 $11.93 $13 $3,004
2806 7 Deere And Co (DE) Agricultural Machinery 5,855 Added More 110 $76.98 $8 $450
2739 9 Teva Pharmaceutical (TEVA) Generic Pharma 45,830 Added More 50 $53.50 $2 $2,452
315 3 National Grid Plc (NGG) Utility Networks 5,075 No Change 0 $71.41 $0 $362
2675 9 Bank Of Montreal (BMO) Diversified Banks 280,715 No Change 0 $60.68 $0 $17,036
2549 16 Unilever Plc (UL) Household Products 6,190 No Change 0 $45.18 $0 $279
2678 10 Bank Of Nova Scotia (BNS) Diversified Banks 490,449 No Change 0 $48.86 $0 $23,963
6 1 Barrick Gold Corp (ABX) Precious Metal Mining 79,555 No Change 0 $13.58 $0 $1,080
373 3 Cameco Corp (CCJ) Base Metals 200,062 No Change 0 $12.84 $0 $2,568
2728 18 Sun Life Financial Inc (SLF) Life Insurance 564,809 No Change 0 $32.27 $0 $18,226
1094 23 Exfo Inc (EXFO) Communications Equipment 10,120 Sold Some -2,180 $3.72 $-8 $37
634 5 Hudbay Minerals Inc (HBM) Base Metals 14,530 Sold Some -2,510 $3.68 $-9 $53
2567 20 Teck Resources Ltd-Cls B (TCK) Base Metals 120,038 Sold Some -1,310 $7.61 $-9 $913
2114 41 Primero Mining Corp (PPP) Precious Metal Mining 5,990 Sold Some -8,960 $1.81 $-16 $10
2969 7 Canadian Natl Railway Co (CNI) Rail Freight 55,525 Sold Some -745 $62.45 $-46 $3,468
2880 76 Canadian Natural Resources (CNQ) Exploration And Production 262,528 Sold Some -1,735 $27.00 $-46 $7,088
3077 22 Procter And Gamble Cothe (PG) Household Products 108,945 Sold Some -590 $82.30 $-48 $8,967
2462 47 New Gold Inc (NGD) Precious Metal Mining 14,175 Sold Some -19,005 $3.73 $-70 $52
2897 18 Brookfield Asset Manage-Cl A (BAM) Real Estate Owners And Developers 236,296 Sold Some -4,600 $34.79 $-160 $8,220
3055 131 Simon Property Group Inc (SPG) Reit 23,330 Sold Some -1,080 $207.69 $-224 $4,845
2116 88 Camden Property Trust (CPT) Reit 37,385 Sold Some -3,105 $84.08 $-261 $3,143
516 37 Terreno Realty Corp (TRNO) Reit 100,137 Sold Some -13,963 $23.45 $-327 $2,348
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 173,890 Sold Some -14,840 $54.08 $-802 $9,403
665 45 Kimco Realty Corp (KIM) Reit 57,740 Sold Some -44,640 $28.78 $-1,284 $1,661
2476 20 Cae Inc (CAE) Aircraft And Parts 79,870 Sold Some -114,130 $11.58 $-1,321 $924
2215 20 Symantec Corp (SYMC) Infrastructure Software 0 Sold All -127,613 $18.37 $-2,345 $0
370 4 Baxter International Inc (BAX) Health Care Supplies 78,925 Sold Some -62,050 $41.08 $-2,549 $3,242