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Institutional Investment Manager
Northwest & Ethical Investments L.P.
Northwest & Ethical Investments L.P. (CIK: 0002033536), located at 151 Yonge Street, Toronto, A6. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0002033536-25-000033) filed in 2025.07.08
#
Name
Shares
Value ($)
%
Options
Notes
151 YUM BRANDS INC 145,430 11,903,444 0.80%
152 DAVITA INC 147,180 10,800,068 0.73%
153 INTEL CORP 150,325 4,863,013 0.33%
154 JOHNSON & JOHNSON 156,120 16,892,182 1.14%
155 BAXALTA INC COM 161,500 6,524,599 0.44%
156 FACEBOOK INC 164,120 18,726,091 1.26%
157 UNION PAC CORP 164,133 13,056,779 0.88%
158 VISA INC 164,240 12,561,074 0.85%
159 ELECTRONIC ARTS INC 165,160 10,918,726 0.74%
160 VERIFONE SYS INC 167,760 4,737,541 0.32%
161 IRON MTN INC NEW 169,173 5,736,655 0.39%
162 PEMBINA PIPELINE CORP 173,870 4,706,322 0.32%
163 EXPRESS SCRIPTS HLDG CO 179,010 12,296,196 0.83%
164 TERADYNE INC 185,700 4,009,262 0.27%
165 REALOGY HLDGS CORP 187,420 6,767,735 0.46%
166 APPLE INC 187,960 20,485,758 1.38%
167 ORACLE CORP 190,100 7,776,990 0.52%
168 CORNING INC 190,740 3,984,557 0.27%
169 WESTERN UN CO 191,540 3,694,805 0.25%
170 AGRIUM INC 194,682 17,210,829 1.16%
171 HALLIBURTON CO 200,800 7,172,575 0.48%
172 TIME WARNER INC 221,495 16,069,459 1.08%
173 Tribune Media Company 233,080 8,938,617 0.60%
174 COLLIERS INTL GROUP INC 251,678 9,548,272 0.64%
175 FIRSTSERVICE CORP NEW 251,726 10,351,594 0.70%
176 SYNCHRONY FINL 255,700 7,328,361 0.49%
177 CATERPILLAR INC 257,900 19,739,665 1.33%
178 BB&T CORP 262,405 8,730,213 0.59%
179 PAYPAL HLDGS INC 263,100 10,155,658 0.68%
180 QUALCOMM INC 275,941 14,111,620 0.95%
181 CERNER CORP 277,610 14,702,225 0.99%
182 GENERAL ELECTRIC CO 286,065 9,094,005 0.61%
183 GOLDCORP INC NEW 293,792 4,772,332 0.32%
184 RANGE RES CORP 297,460 9,631,753 0.65%
185 BAXTER INTL INC 304,000 12,488,319 0.84%
186 GRANITE REAL ESTATE INVT TR 322,876 9,312,143 0.63%
187 JPMORGAN CHASE & CO 323,410 19,152,339 1.29%
188 WEYERHAEUSER CO 345,389 10,700,149 0.72%
189 HOUGHTON MIFFLIN HARCOURT CO 346,430 6,907,812 0.47%
190 ROYAL BK CDA MONTREAL QUE 348,808 20,122,798 1.36%
191 COCA COLA CO 369,320 17,132,753 1.16%
192 MAGNA INTL INC 387,186 16,665,312 1.12%
193 DOMTAR CORP 387,500 15,704,926 1.06%
194 EVERTEC INC 398,440 5,570,190 0.38%
195 SUN LIFE FINL INC 433,155 13,992,121 0.94%
196 BCE INC 453,659 20,701,607 1.40%
197 CANADIAN NATL RY CO 454,913 28,464,043 1.92%
198 Cipher Pharmaceuticals Inc 472,670 2,273,886 0.15%
199 RITCHIE BROS AUCTIONEERS 522,221 14,131,480 0.95%
200 AMBEV SA 531,480 2,753,066 0.19%
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