13F

Investor

Baskin Financial Services Inc.

CIK 0001511098 · filed 2026-04-13 · SEC filing

13F book

$1.22M

Positions

53

3 new · 3 sold

Largest name

6.8%

Alphabet Inc

Est. mark

−$52.8K

Price effect on 50 names still held. Flow −$54.5K.
NameTickerSharesValueWeightEst. markChange
Alphabet Inc289K$82.9K6.8%−$7.78KCut−$22.4K
Apple Inc.AAPL292.5K$74.2K6.1%−$5.29KCut−$11.5K
Costco Whsl Corp New64.3K$64K5.2%$8.62KCut$7.23K
Brookfield Corp1.32M$53.5K4.4%−$7.1KCut−$8.69K
Microsoft CorpMSFT142.7K$52.8K4.3%−$16.2KCut−$16.5K
Visa Inc.V170.1K$51.4K4.2%−$8.24KCut−$8.69K
Netflix IncNFLX522.3K$50.2K4.1%$1.24KAdded$1.41K
Amazon Com IncAMZN237.1K$49.4K4.0%−$5.35KCut−$5.9K
Canadian Nat Res Ltd979.2K$47.8K3.9%$14.6KCut$13K
Live Nation Entertainment In308.5K$47.1K3.9%$3.09KCut$2.04K
Waste Connections, Inc.WCN286.2K$46.5K3.8%−$3.68KCut−$4.42K
Tfi Intl IncTFII421.2K$45.8K3.8%$2.32KCut$1.66K
Moodys Corp104.8K$45.7K3.7%−$7.82KCut−$8.2K
Taiwan Semiconductor Mfg Ltd131.5K$44.4K3.6%$4.48KCut$3.41K
Berkshire Hathaway Inc Del85.6K$41K3.4%−$2.01KCut−$2.92K
MSCI Inc.MSCI72.2K$38.9K3.2%−$2.51KCut−$3K
Ferrari N.V.RACE112.1K$37.9K3.1%−$3.48KAdded−$3.39K
Stryker CorpSYK112.1K$36.8K3.0%−$2.57KCut−$2.88K
Garmin LtdGRMN154.3K$35.8K2.9%$4.5KCut$4.26K
Firstservice Corp New250.3K$34.8K2.9%−$4.1KCut−$4.29K
Dominos Pizza IncDPZ78.1K$28K2.3%−$4.53KCut−$5.49K
Transdigm Group IncTDG22.9K$26.6K2.2%−$3.92KCut−$3.93K
Restaurant Brands Intl Inc341.2K$25.2K2.1%$1.97KCut$1.36K
Copart IncCPRT760.4K$25.2K2.1%−$4.52KCut−$4.83K
Vanguard Scottsdale Fds313.5K$24.9K2.0%−$144Cut−$201
Meta Platforms, Inc.META39.5K$22.6K1.8%−$3.47KCut−$3.53K
Fair Isaac CorpFICO17.9K$19.1K1.6%New
Brookfield Asset Managmt Ltd259.6K$11.5K0.9%−$2.05KCut−$2.48K
Brookfield Infrast Partners305.9K$11K0.9%$404Cut−$112
Royal Bk Cda60.6K$9.79K0.8%−$531Cut−$949
Pembina Pipeline Corp176.5K$7.9K0.6%$1.18KCut$642
Coca Cola CoKO74.1K$5.63K0.5%$335Added$1.82K
Watsco Inc13.5K$4.9K0.4%$361Cut−$18.9K
Granite Real Estate Invt Tr80.9K$4.76K0.4%−$57Cut−$239
Alphabet Inc9.45K$2.72K0.2%−$240Cut−$673
Tjx Cos Inc New11.1K$1.77K0.1%$67Held
Brookfield Infrastructure CorpBIPC34.7K$1.37K0.1%−$204Cut−$215
Vanguard Instl Index Fd10.6K$8000.1%New
Toronto Dominion Bk Ont7.74K$7230.1%−$7Added−$6
Mastercard IncMA1.38K$6900.1%−$98Held
Bank Montreal Que4.97K$6730.1%$28Cut−$245
Invesco Qqq Tr1.08K$6240.1%−$40Added−$39
Jpmorgan Chase & Co.1.56K$4590.0%−$44Held
Enbridge Inc8.2K$4450.0%$53Cut$43
Celestica IncCLS1.5K$4230.0%−$21Held
Nvidia CorpNVDA2.3K$4010.0%−$28Held
Tesla, Inc.TSLA962$3580.0%−$75Held
Fortis Inc6.09K$3400.0%$24Cut−$47
Vanguard Bd Index Fds3.19K$2350.0%−$1Held
Emera Inc4.5K$2330.0%$11Held
Vanguard Scottsdale Fds2.79K$2310.0%−$3Held
Vanguard Bd Index Fds2.94K$2310.0%−$1Held
Suncor Energy Inc New3.15K$2080.0%New

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.