Back to Northwest & Ethical Investments L.P.

Northwest & Ethical Investments L.P.

Q2 2026 13F filing

Updated 28 days ago

522 disclosed positions worth $4.3B

Portfolio value
$4.3B
Total holdings
522
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-13

Full holdings

Every line item disclosed in Q2 2026

E

ISHARES TR

Value
$288.4M
Shares
3.41M
% Port
6.71%
N

NVIDIA CORPORATION

Value
$180.6M
Shares
903.0K
% Port
4.20%
?
3.N/A

AMERICAN CENTY ETF TR

Value
$158.3M
Shares
1.98M
% Port
3.68%
M

MICROSOFT CORP

Value
$143.1M
Shares
383.7K
% Port
3.33%
A

APPLE INC

Value
$112.9M
Shares
390.4K
% Port
2.63%
G

ALPHABET INC

Value
$107.3M
Shares
303.8K
% Port
2.50%
R

ROYAL BK CDA

Value
$96M
Shares
464.6K
% Port
2.24%
A

BROADCOM INC

Value
$82.7M
Shares
218.8K
% Port
1.92%
K

KLA CORP

Value
$80.8M
Shares
267.9K
% Port
1.88%
T

TORONTO DOMINION BK ONT

Value
$75.3M
Shares
620.7K
% Port
1.75%
Q
11.QQQ

INVESCO QQQ TR

Value
$64.6M
Shares
87.7K
% Port
1.50%
S
12.SPY

STATE STR SPDR S&P 500 ETF T

Value
$62.6M
Shares
83.8K
% Port
1.46%
A
13.AMZN

AMAZON COM INC

Value
$61.6M
Shares
258.5K
% Port
1.43%
W
14.WCN

WASTE CONNECTIONS INC

Value
$58.8M
Shares
352.8K
% Port
1.37%
C
15.CSCO

CISCO SYS INC

Value
$49.9M
Shares
425.0K
% Port
1.16%
C
16.CNI

CANADIAN NATL RY CO

Value
$47.8M
Shares
401.0K
% Port
1.11%
V
17.V

VISA INC

Value
$43.6M
Shares
127.0K
% Port
1.01%
N

NEXTERA ENERGY INC

Value
$41.8M
Shares
476.2K
% Port
0.97%
L
19.LIN

LINDE PLC

Value
$40.5M
Shares
78.1K
% Port
0.94%
M
20.MRK

MERCK & CO INC

Value
$40M
Shares
311.1K
% Port
0.93%
C
21.CP

CANADIAN PACIFIC KANSAS CITY

Value
$38.9M
Shares
448.5K
% Port
0.90%
T

TAIWAN SEMICONDUCTOR MANUFAC

Value
$38.2M
Shares
80.1K
% Port
0.89%
G
23.GILD

GILEAD SCIENCES INC

Value
$37.2M
Shares
294.7K
% Port
0.87%
E

ENBRIDGE INC

Value
$36.9M
Shares
681.2K
% Port
0.86%
A
25.A

AGILENT TECHNOLOGIES INC

Value
$35.7M
Shares
269.1K
% Port
0.83%
B

BANK OF AMER CORP

Value
$34.1M
Shares
598.4K
% Port
0.79%
M
27.MA

MASTERCARD INCORPORATED

Value
$33.9M
Shares
66.0K
% Port
0.79%
L
28.LLY

ELI LILLY & CO

Value
$32.8M
Shares
27.4K
% Port
0.76%
J

JPMORGAN CHASE & CO

Value
$32.6M
Shares
99.5K
% Port
0.76%
B

BROOKFIELD CORP

Value
$32.3M
Shares
758.2K
% Port
0.75%
S
31.SHOP

SHOPIFY INC

Value
$31.8M
Shares
277.9K
% Port
0.74%
G
32.GIB

CGI INC

Value
$31.4M
Shares
486.7K
% Port
0.73%
A
33.AEP

AMERICAN ELEC PWR CO INC

Value
$30.2M
Shares
220.6K
% Port
0.70%
A
34.ABBV

ABBVIE INC

Value
$29.7M
Shares
118.1K
% Port
0.69%
O
35.OILD

BANK MONTREAL MEDIUM

Value
$28.9M
Shares
164.0K
% Port
0.67%
A
36.ADI

ANALOG DEVICES INC

Value
$28.6M
Shares
72.0K
% Port
0.67%
M
37.MCK

MCKESSON CORP

Value
$28.6M
Shares
37.8K
% Port
0.66%
B
38.BNS

BANK NOVA SCOTIA B C

Value
$28.4M
Shares
327.0K
% Port
0.66%
U
39.UNP

UNION PAC CORP

Value
$28.4M
Shares
104.4K
% Port
0.66%
S

SUN LIFE FINANCIAL INC.

Value
$28.1M
Shares
358.3K
% Port
0.65%
C
41.CL

COLGATE PALMOLIVE CO

Value
$27.7M
Shares
302.3K
% Port
0.65%
T
42.TT

TRANE TECHNOLOGIES PLC

Value
$27.6M
Shares
56.1K
% Port
0.64%
E
43.ETHA

ISHARES TR

Value
$27.5M
Shares
284.9K
% Port
0.64%
F
44.FNV

FRANCO NEV CORP

Value
$27.1M
Shares
130.2K
% Port
0.63%
S
45.SNPS

SYNOPSYS INC

Value
$24.7M
Shares
55.3K
% Port
0.57%
M
46.MGA

MAGNA INTL INC

Value
$24.4M
Shares
371.5K
% Port
0.57%
C

CANADIAN IMPERIAL BANK OF CO

Value
$24.2M
Shares
210.2K
% Port
0.56%
T
48.TRV

TRAVELERS COMPANIES INC

Value
$23.7M
Shares
71.7K
% Port
0.55%
D
49.DE

DEERE & CO

Value
$23.6M
Shares
37.2K
% Port
0.55%
A
50.APTV

APTIV PLC

Value
$23.4M
Shares
381.9K
% Port
0.55%