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Institutional Investment Manager
SCOTIA CAPITAL INC.
SCOTIA CAPITAL INC. (CIK: 0001335644), located at 40 King St.West, Scotia Plaza 33rd Floor, Toronto, A6. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 793 holdings with a total value of $6,265,708,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 ROYAL BK CDA MONTREAL QUE 6,069,775 410,786,000 6.56%
2 BANK N S HALIFAX 7,309,504 406,985,000 6.50%
3 TORONTO DOMINION BK ONT 7,451,500 367,443,000 5.86%
4 ENBRIDGE INC 4,291,944 180,572,000 2.88%
5 TRANSCANADA CORP 3,706,458 167,035,000 2.67%
6 BCE INC 3,493,675 150,916,000 2.41%
7 MANULIFE FINL CORP 8,175,229 145,519,000 2.32%
8 CANADIAN NATL RY CO 1,893,349 127,280,000 2.03%
9 BANK MONTREAL QUE 1,605,049 115,427,000 1.84%
10 CDN IMPERIAL BK COMM TORONTO 1,283,041 104,693,000 1.67%
11 SUNCOR ENERGY INC NEW 3,110,246 101,690,000 1.62%
12 FORTIS INC 2,917,596 90,090,000 1.44%
13 GENERAL ELECTRIC CO 2,847,575 90,040,000 1.44%
14 APPLE INC 736,525 85,352,000 1.36%
15 TELUS CORP 2,671,933 84,893,000 1.35%
16 JOHNSON & JOHNSON 712,121 82,144,000 1.31%
17 FACEBOOK INC 711,229 81,890,000 1.31%
18 SUN LIFE FINL INC 2,041,817 78,376,000 1.25%
19 SHAW COMMUNICATIONS INC 3,833,063 76,878,000 1.23%
20 PEMBINA PIPELINE CORP 2,458,301 76,695,000 1.22%
21 FACEBOOK INC 600,700 69,159,000 1.10% Put
22 BROOKFIELD RENEWABLE PARTNER 2,198,295 65,244,000 1.04%
23 BROOKFIELD PPTY PARTNERS L P 2,812,877 61,281,000 0.98%
24 ROGERS COMMUNICATIONS INC 1,569,822 60,539,000 0.97%
25 JPMORGAN CHASE & CO 684,570 59,127,000 0.94%
26 MAGNA INTL INC 1,267,818 55,039,000 0.88%
27 BROOKFIELD ASSET MGMT INC 1,609,673 53,097,000 0.85%
28 DISNEY WALT CO 483,084 50,403,000 0.80%
29 MICROSOFT CORP 779,909 48,486,000 0.77%
30 CITIGROUP INC 710,147 42,219,000 0.67%
31 METLIFE INC 754,246 40,686,000 0.65%
32 BROOKFIELD INFRAST PARTNERS 1,192,861 39,806,000 0.64%
33 AGRIUM INC 393,841 39,572,000 0.63%
34 CVS HEALTH CORP 478,547 37,782,000 0.60%
35 PROCTER AND GAMBLE CO 445,166 37,451,000 0.60%
36 CENOVUS ENERGY INC 2,391,286 36,136,000 0.58%
37 CANADIAN NAT RES LTD 1,111,191 35,404,000 0.57%
38 ALPHABET INC 41,903 33,223,000 0.53%
39 WELLS FARGO & CO NEW 593,354 32,712,000 0.52%
40 CRESCENT PT ENERGY CORP 2,391,771 32,509,000 0.52%
41 PFIZER INC 972,034 31,599,000 0.50%
42 ALPHABET INC 40,245 31,075,000 0.50%
43 ALGONQUIN PWR UTILS CORP 3,659,739 30,991,000 0.49%
44 VISA INC 387,423 30,248,000 0.48%
45 HOME DEPOT INC 213,018 28,577,000 0.46%
46 STARBUCKS CORP 473,353 26,295,000 0.42%
47 AMAZON COM INC 34,709 26,036,000 0.42%
48 UNITED TECHNOLOGIES CORP 234,807 25,764,000 0.41%
49 INTEL CORP 709,413 25,746,000 0.41%
50 SPDR SER TR 297,414 25,498,000 0.41%
Page 1 of 16

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001335382-17-000002, filed 2017.02.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.