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Cardinal Capital Management, Inc.

Q2 2026 13F filing

Updated 62 days ago

71 disclosed positions worth $4.1B

Portfolio value
$4.1B
Total holdings
71
New positions
7
Closed positions
3
Increased
42
Decreased
17
Turnover
14.1%
Filed
2026-07-10

Full holdings

Every line item disclosed in Q2 2026

M

Manulife Financial Corp.

+0.1%
Value
$189.4M
Shares
4.68M
% Port
4.58%
R

Royal Bank of Canada

-0.4%
Value
$184.5M
Shares
892.5K
% Port
4.46%
O

Bank of Montreal

-0.5%
Value
$176.3M
Shares
999.3K
% Port
4.26%
C

Canadian Imperial Bank of Commerce

-1.5%
Value
$176.2M
Shares
1.53M
% Port
4.26%
B
5.BNS

Bank of Nova Scotia

-0.2%
Value
$175.1M
Shares
2.02M
% Port
4.24%
S
6.SU

Suncor Energy Inc.

-10.3%
Value
$169.1M
Shares
3.15M
% Port
4.09%
T

TC Energy Corp.

+0.8%
Value
$168.8M
Shares
2.55M
% Port
4.08%
P

Pembina Pipeline Corp.

+18927.2%
Value
$167.8M
Shares
3.63M
% Port
4.06%
G
9.GIL

Gildan Activewear Inc.

+17.0%
Value
$155.7M
Shares
3.03M
% Port
3.77%
?
10.N/A

Intact Financial Corp

+15.1%
Value
$149.7M
Shares
726.6K
% Port
3.62%
C
11.CNI

Canadian National Railway Co.

+5.8%
Value
$149.4M
Shares
1.25M
% Port
3.61%
C
12.CP

Fortis Inc./Canada

+1.4%
Value
$146.5M
Shares
1.69M
% Port
3.54%
?
13.N/A

Canadian Tire Corp. Ltd. - Class A

+0.6%
Value
$138.8M
Shares
1.01M
% Port
3.36%
B

Brookfield Corp.

+2.5%
Value
$138.3M
Shares
3.25M
% Port
3.35%
?
15.N/A

CCL Industries Inc.

+10.7%
Value
$137M
Shares
2.10M
% Port
3.31%
S

Saputo Inc.

-25.6%
Value
$120.1M
Shares
4.15M
% Port
2.90%
?
17.N/A

National Bank of Canada

-1.6%
Value
$117.7M
Shares
746.7K
% Port
2.85%
E

Element Fleet Management Corp.

+24.8%
Value
$102.5M
Shares
4.98M
% Port
2.48%
S

Sun Life Financial Inc.

+4.8%
Value
$91.6M
Shares
1.17M
% Port
2.22%
A
20.AMAT

Applied Materials Inc.

-45.8%
Value
$73.5M
Shares
101.7K
% Port
1.78%
A
21.ABBV

AbbVie Inc.

+8.4%
Value
$68.9M
Shares
273.7K
% Port
1.67%
C
22.CMI

Cummins Inc.

-0.2%
Value
$68.3M
Shares
95.8K
% Port
1.65%
U
23.URI

United Rentals Inc.

+11.6%
Value
$56.2M
Shares
49.6K
% Port
1.36%
T

Taiwan Semiconductor Manufacturing Co. Ltd.

+2.7%
Value
$51.4M
Shares
107.6K
% Port
1.24%
?
25.N/A

Siemens AG - ADR

+1.9%
Value
$47.2M
Shares
293.4K
% Port
1.14%
?
26.N/A

Exchange Income Corp.

Value
$45.4M
Shares
487.2K
% Port
1.10%
N
27.NXPI

NXP Semiconductors NV

+2.2%
Value
$44.8M
Shares
159.6K
% Port
1.08%
H
28.HD

Home Depot Inc./The

+26.4%
Value
$42.4M
Shares
120.1K
% Port
1.02%
C
29.CARR

Carrier Global Corp.

+7.1%
Value
$42.2M
Shares
575.3K
% Port
1.02%
?
30.N/A

Schneider Electric SE - ADR

+3.2%
Value
$40.6M
Shares
623.2K
% Port
0.98%
V
31.V

Visa Inc.

Value
$40.6M
Shares
118.3K
% Port
0.98%
A
32.APD

Air Products & Chemicals Inc.

+7.3%
Value
$40.5M
Shares
138.1K
% Port
0.98%
W

Wells Fargo & Co.

+1.2%
Value
$38.7M
Shares
468.3K
% Port
0.94%
N

NextEra Energy Inc.

+1.0%
Value
$38.5M
Shares
439.0K
% Port
0.93%
E
35.ETR

Entergy Corp.

+8.2%
Value
$37.2M
Shares
323.5K
% Port
0.90%
B
36.BKNG

Booking Holdings Inc.

+2461.2%
Value
$36.7M
Shares
206.0K
% Port
0.89%
A
37.AVGO

Broadcom Inc.

+18.4%
Value
$33.4M
Shares
88.3K
% Port
0.81%
?
38.N/A

Enel SpA - ADR

+0.9%
Value
$32.8M
Shares
2.87M
% Port
0.79%
?
39.N/A

Boardwalk Real Estate Investment trust

+3.6%
Value
$32.1M
Shares
705.2K
% Port
0.78%
T
40.TEL

TE Connectivity PLC

Value
$31.5M
Shares
156.2K
% Port
0.76%
M
41.MSFT

Microsoft Corp.

+4.1%
Value
$29.8M
Shares
79.8K
% Port
0.72%
N
42.NTR

Nutrien Ltd.

-5.2%
Value
$28.3M
Shares
449.5K
% Port
0.68%
B
43.BDX

Becton Dickinson and Co.

+6.6%
Value
$27M
Shares
178.4K
% Port
0.65%
U

Unilever PLC - ADR

+6.3%
Value
$26.6M
Shares
441.8K
% Port
0.64%
M
45.MRK

Merck & Co. Inc.

-0.5%
Value
$26.5M
Shares
206.5K
% Port
0.64%
M
46.MDT

Medtronic PLC

+5.9%
Value
$25.8M
Shares
329.2K
% Port
0.62%
?
47.N/A

LVMH Moet Hennessy Louis Vuitton ADR

Value
$22.7M
Shares
205.4K
% Port
0.55%
E

Enbridge Inc.

-3.2%
Value
$22.7M
Shares
419.2K
% Port
0.55%
U

US Bancorp

+5.4%
Value
$19.7M
Shares
326.6K
% Port
0.48%
H
50.HON

Honeywell International Inc.

Value
$18.4M
Shares
82.0K
% Port
0.44%