Beutel, Goodman & Company

Beutel, Goodman & Co as of March 31, 2024

Portfolio Holdings for Beutel, Goodman & Co

Beutel, Goodman & Co holds 75 positions in its portfolio as reported in the March 2024 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Royal Bank Cda Adr (2 Ord) (RY) 6.0 $1.1B 11M 101.62
Toronto Dominion Bk Common (TD) 4.6 $871M 14M 60.41
Cdn Natl Railway Common (CNI) 3.2 $604M 4.8M 126.31
Bank of Montreal Common (BMO) 3.1 $572M 5.8M 99.43
Manulife Fincl Corp Common (MFC) 2.9 $550M 25M 22.21
Rogers Communications Common (RCI) 2.9 $549M 12M 47.04
TC Energy Common (TRP) 2.9 $538M 14M 39.25
Sun Life Fncl Common (SLF) 2.8 $516M 9.9M 52.12
Magna Intl Common (MGA) 2.6 $496M 8.4M 59.37
Restaurant Brands International Class B Non VTG (QSR) 2.6 $479M 6.1M 78.52
RB Global Common (RBA) 2.5 $470M 7.0M 67.25
Amgen Common (AMGN) 2.4 $452M 1.6M 288.02
Suncor Energy Common (SU) 2.3 $436M 14M 32.19
Qualcomm Common (QCOM) 2.2 $411M 2.8M 144.63
Canadian Pacific Kansas City Common (CP) 2.1 $394M 5.0M 79.51
Fortis Common (FTS) 2.1 $394M 9.5M 41.34
American Express Common (AXP) 2.1 $387M 2.1M 187.34
NetApp Common (NTAP) 2.0 $384M 4.4M 88.16
Brookfield Corporation Cl A Ltd Vt Sh (BN) 2.0 $375M 9.3M 40.31
Open Text Corp Common (OTEX) 1.9 $366M 8.7M 42.23
Omnicom Group Common (OMC) 1.9 $363M 4.2M 86.51
Amdocs Ordinary (DOX) 1.9 $354M 4.0M 87.89
Masco Common (MAS) 1.6 $303M 4.5M 66.98
Gen Digital Common (GEN) 1.6 $300M 13M 22.82
BlackRock Common (BLK) 1.6 $295M 363k 811.80
CGI Group Cl A Sub Vtg (GIB) 1.5 $283M 2.6M 107.65
Harley Davidson Common (HOG) 1.5 $281M 7.6M 36.84
Brookfield Asset Mgt Class A Ltd Vtg (BAM) 1.5 $279M 6.9M 40.36
Kimberly Clark Corp Common (KMB) 1.5 $278M 2.3M 121.51
Ameriprise Financial Common (AMP) 1.5 $276M 727k 379.83
Flowserve Corp Common (FLS) 1.5 $276M 6.7M 41.22
Kellanova Common (K) 1.5 $274M 4.9M 55.91
BRP Com Sun Vtg (DOOO) 1.5 $273M 3.8M 71.91
Tempur Sealy International Common (TPX) 1.4 $266M 4.7M 56.82
Merck& Co Common (MRK) 1.4 $265M 2.4M 109.02
Cae Common (CAE) 1.4 $265M 12M 21.69
Colliers Intl Sub Vtg (CIGI) 1.4 $264M 2.1M 127.10
Biogen Common (BIIB) 1.4 $258M 996k 258.77
SEI Investments Common (SEIC) 1.4 $256M 4.0M 63.55
Comcast Corp Common (CMCSA) 1.3 $248M 5.7M 43.85
Nutrien Common (NTR) 1.3 $237M 4.2M 56.61
Interpublic Group of Companies Common (IPG) 1.2 $233M 7.2M 32.64
Campbell Soup Common (CPB) 1.2 $227M 5.3M 43.23
Cummins Common (CMI) 1.2 $224M 935k 239.57
Polaris Industries Common (PII) 1.1 $210M 2.2M 94.77
Ebay Common (EBAY) 1.1 $209M 4.8M 43.62
Gentex Common (GNTX) 1.1 $199M 6.1M 32.66
Carlyle Group Common (CG) 0.9 $176M 4.3M 40.69
Bank of Nova Scotia Common (BNS) 0.9 $169M 3.5M 48.92
Westinghouse Air Brake Technologies Common (WAB) 0.8 $158M 1.1M 145.68
Cencora Common (COR) 0.7 $137M 666k 205.38
Parker Hannifin Corp Common (PH) 0.6 $116M 252k 460.70
Franco Nevada Corp Common (FNV) 0.5 $91M 817k 111.31
Alamos Gold In Class A (AGI) 0.4 $77M 5.7M 13.51
PPG Industries Common (PPG) 0.3 $61M 409k 149.55
ATS Corp Common (ATS) 0.3 $51M 1.2M 43.31
Triple Flag Precious Metals Common (TFPM) 0.2 $35M 2.4M 14.46
Primo Water Common (PRMW) 0.1 $26M 1.7M 15.14
SPDR Portfolio S&P 500 Growth Etf (SPYG) 0.1 $24M 373k 65.11
Telus International Cda Sub Vtg Shs (TIXT) 0.1 $19M 2.2M 8.48
Denison Mines Corp Common (DNN) 0.1 $18M 11M 1.76
Brookfield Business Partners Unit LTD LP (BBU) 0.1 $18M 871k 20.74
Brookfield Business Partners Cl A Exc Sub Vtg (BBUC) 0.1 $13M 544k 23.41
Enerflex Common (EFXT) 0.0 $6.1M 1.3M 4.65
iShares MSCI EAFE ETF Etf (EFA) 0.0 $3.1M 41k 75.32
Berkshire Hathaway Class A (BRK.A) 0.0 $542k 1.00 542000.00
GSK Spons ADR (GSK) 0.0 $483k 13k 37.01
Unilever Spon ADR New (UL) 0.0 $481k 9.6k 50.10
Novartis Sponsored ADR (NVS) 0.0 $440k 4.4k 100.80
Smith & Nephew Common (SNN) 0.0 $435k 16k 27.24
Microsoft Common (MSFT) 0.0 $154k 411.00 374.70
Alphabet Class C (GOOG) 0.0 $115k 820.00 140.24
Canadian Imperial Bk Common (CM) 0.0 $103k 2.1k 48.13
Brookfield Renewable Partners Partnership Unit (BEP) 0.0 $29k 1.1k 25.78
Bce Com New (BCE) 0.0 $16k 409.00 39.12