Back to Onex Canada Asset Management Inc.

Onex Canada Asset Management Inc.

Q2 2026 13F filing

Updated 27 days ago

80 disclosed positions worth $649.3M

Portfolio value
$649.3M
Total holdings
80
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-14

Full holdings

Every line item disclosed in Q2 2026

N

NVIDIA CORPORATION

Value
$36.5M
Shares
182.7K
% Port
5.63%
M

MICROSOFT CORP

Value
$35.3M
Shares
94.6K
% Port
5.43%
G

ALPHABET INC

Value
$32.7M
Shares
91.6K
% Port
5.04%
A

APPLE INC

Value
$30.8M
Shares
106.5K
% Port
4.75%
A

APOLLO GLOBAL MGMT INC

Value
$28.9M
Shares
244.1K
% Port
4.45%
A
6.AON

AON PLC

Value
$24.5M
Shares
73.7K
% Port
3.77%
A

AMAZON COM INC

Value
$22.9M
Shares
95.9K
% Port
3.52%
W
8.W

WAYFAIR INC

Value
$22.6M
Shares
244.8K
% Port
3.48%
U

UBER TECHNOLOGIES INC

Value
$17.1M
Shares
236.8K
% Port
2.63%
M
10.META

META PLATFORMS INC

Value
$16.5M
Shares
29.2K
% Port
2.53%
A
11.AVGO

BROADCOM INC

Value
$15.7M
Shares
41.5K
% Port
2.42%
A
12.ARMK

ARAMARK

Value
$15M
Shares
263.1K
% Port
2.31%
S
13.SPGI

S&P GLOBAL INC

Value
$14.4M
Shares
35.5K
% Port
2.23%
B

BERKSHIRE HATHAWAY INC DEL

Value
$14.2M
Shares
19
% Port
2.19%
R
15.RBA

RB GLOBAL INC

Value
$13.8M
Shares
118.1K
% Port
2.12%
M
16.MU

MICRON TECHNOLOGY INC

Value
$13.6M
Shares
11.8K
% Port
2.09%
S
17.SHC

SOTERA HEALTH CO

Value
$12.9M
Shares
729.2K
% Port
1.99%
F
18.FA

FIRST ADVANTAGE CORP NEW

Value
$12.5M
Shares
692.4K
% Port
1.92%
A
19.AMD

ADVANCED MICRO DEVICES INC

Value
$10.7M
Shares
18.5K
% Port
1.65%
P
20.PH

PARKER-HANNIFIN CORP

Value
$10.2M
Shares
10.5K
% Port
1.58%
C
21.CAT

CATERPILLAR INC

Value
$10.1M
Shares
9.5K
% Port
1.55%
J

JPMORGAN CHASE & CO

Value
$9.9M
Shares
30.2K
% Port
1.52%
X
23.XOM

EXXON MOBIL CORP

Value
$8.9M
Shares
65.1K
% Port
1.37%
U
24.UNP

UNION PAC CORP

Value
$8.7M
Shares
32.1K
% Port
1.35%
B

BANK OF AMER CORP

Value
$8.5M
Shares
149.9K
% Port
1.32%
G

ALPHABET INC

Value
$7.8M
Shares
22.2K
% Port
1.21%
L
27.LLY

ELI LILLY & CO

Value
$7.8M
Shares
6.5K
% Port
1.20%
L
28.LVS

LATHAM GROUP INC

Value
$7.6M
Shares
1.17M
% Port
1.17%
T
29.TXN

TEXAS INSTRS INC

Value
$7.5M
Shares
25.3K
% Port
1.16%
C
30.CARR

CARRIER GLOBAL CORPORATION

Value
$6.8M
Shares
92.5K
% Port
1.04%
M
31.MA

MASTERCARD INCORPORATED

Value
$6.6M
Shares
12.9K
% Port
1.02%
V
32.V

VISA INC

Value
$6.5M
Shares
18.8K
% Port
1.00%
K
33.KO

COCA COLA CO

Value
$6.3M
Shares
77.1K
% Port
0.96%
G
34.GE

GE AEROSPACE

Value
$6.2M
Shares
16.6K
% Port
0.95%
T
35.TMO

THERMO FISHER SCIENTIFIC INC

Value
$6.2M
Shares
12.3K
% Port
0.95%
G
36.GIL

GILDAN ACTIVEWEAR INC

Value
$6.1M
Shares
118.2K
% Port
0.94%
T
37.TDUP

THREDUP INC

Value
$5.4M
Shares
784.2K
% Port
0.83%
A
38.AMAT

APPLIED MATLS INC

Value
$5M
Shares
6.9K
% Port
0.77%
U
39.UNH

UNITEDHEALTH GROUP INC

Value
$4.8M
Shares
11.4K
% Port
0.73%
C
40.CBRE

CBRE GROUP INC

Value
$4.7M
Shares
34.7K
% Port
0.72%
H
41.HLT

HILTON WORLDWIDE HLDGS INC

Value
$4.7M
Shares
14.1K
% Port
0.72%
S
42.SHW

SHERWIN WILLIAMS CO

Value
$4.6M
Shares
13.5K
% Port
0.71%
P
43.PG

PROCTER & GAMBLE CO

Value
$4.6M
Shares
31.3K
% Port
0.71%
T
44.TJX

TJX COS INC NEW

Value
$4.6M
Shares
30.2K
% Port
0.70%
C
45.CVX

CHEVRON CORPORATION

Value
$4.5M
Shares
26.9K
% Port
0.69%
C
46.CME

CME GROUP INC

Value
$4.3M
Shares
19.6K
% Port
0.67%
D
47.DHR

DANAHER CORP DEL

Value
$4.3M
Shares
22.7K
% Port
0.67%
H
48.HD

HOME DEPOT INC

Value
$4.3M
Shares
12.2K
% Port
0.66%
N
49.NFLX

NETFLIX INC.

Value
$4.3M
Shares
59.8K
% Port
0.66%
M
50.MRSH

MARSH & MCLENNAN COS INC

Value
$4.2M
Shares
25.4K
% Port
0.65%