13F

Investor

GUARDIAN CAPITAL LP

CIK 0001224324 · filed 2026-05-15 · SEC filing

13F book

$3.78B

Positions

160

7 new · 7 sold

Largest name

7.3%

Royal Bk Cda

Est. mark

$35.4M

Price effect on 153 names still held. Flow $374.4M.
NameTickerSharesValueWeightEst. markChange
Royal Bk Cda1.71M$275.1M7.3%−$16.1MCut−$26.4M
Canadian Nat Res Ltd3.45M$167.9M4.4%$48.8MAdded$55.7M
Agnico Eagle Mines LtdAEM818.8K$165.7M4.4%$26.8MCut−$8.15M
Toronto Dominion Bk Ont1.3M$121.2M3.2%−$1.56MCut−$3.28M
Suncor Energy Inc New1.79M$118.1M3.1%$38.6MCut$29.8M
Brookfield Corp2.75M$111.2M2.9%−$14.6MAdded−$10.2M
CGI IncGIB1.42M$103.7M2.7%−$25.3MAdded−$15.8M
Open Text CorpOTEX4.57M$101.5M2.7%−$38.5MAdded−$19.5M
Canadian Pacific Kansas City1.22M$95.9M2.5%$5.85MCut$5.28M
Bank Montreal Que680.7K$91.9M2.4%$3.46MCut$3.45M
MDA Space Ltd.MDA3.56M$89.8M2.4%New
Apple Inc.AAPL334.7K$84.9M2.2%−$5.13MAdded$7.77M
Boyd Group Services Inc.BGSI616.6K$78.5M2.1%−$14.4MAdded$7.07M
Canadian Imperial Bank Of Co823.1K$77.8M2.1%$3.11MCut−$7.52M
Restaurant Brands Intl Inc979.5K$72.3M1.9%$4.84MAdded$12M
Broadcom Inc.AVGO224.9K$69.6M1.8%−$6.72MAdded$6.1M
Enbridge Inc1.24M$67M1.8%$7.59MCut$2.74M
Gildan Activewear Inc.GIL1.2M$66.6M1.8%−$8.42MCut−$9.8M
Microsoft CorpMSFT175.5K$65M1.7%−$16.6MAdded−$5.89M
Costco Whsl Corp New64.9K$64.6M1.7%$7.51MAdded$16.3M
Shopify Inc.SHOP523.8K$62M1.6%−$1.91MAdded$54.8M
Williams Cos Inc830.5K$60.4M1.6%$9.36MAdded$16.1M
Alphabet Inc198.1K$57M1.5%−$4.1MAdded$6.54M
Asml Holding N V38.1K$50.4M1.3%$9.23MAdded$11M
Manulife Finl Corp1.47M$50.3M1.3%−$3.04MCut−$4.91M
Totalenergies SeTTE551.1K$50.1M1.3%$13.8MAdded$14.9M
Wheaton Precious Metals Corp.WPM339.6K$44.4M1.2%$4.4MAdded$5.35M
Canadian Natl Ry Co421.4K$43.2M1.1%$1.46MAdded$3.73M
Teck Resources Ltd831.6K$42.9M1.1%$3MCut−$321.9K
Mcdonalds CorpMCD135.9K$42.2M1.1%$638KAdded$4.45M
Fortis Inc744.9K$41.4M1.1%$2.65MAdded$3.06M
Johnson & JohnsonJNJ158.4K$38.7M1.0%$5.36MAdded$9.13M
Barrick Mng Corp851.3K$34.7M0.9%−$2.42MCut−$4.42M
Bank Nova Scotia Halifax493.1K$34.1M0.9%−$2.29MCut−$2.56M
Astrazeneca Plc OrdAZN170.3K$33.6M0.9%New
Equinix IncEQIX33K$32.3M0.9%$5.93MAdded$11.1M
Stantec IncSTN366.4K$31.6M0.8%−$2.43MAdded$3.75M
Shell Plc337.1K$31.3M0.8%$6.35MAdded$7.46M
Meta Platforms, Inc.META53K$30.3M0.8%−$3.46MAdded$4.34M
Mastercard IncMA59.4K$29.7M0.8%−$4.12MAdded−$3.35M
Sun Life Financial Inc.470.2K$29.4M0.8%−$2.36KAdded$137.2K
Tjx Cos Inc New182.4K$29.1M0.8%$899.9KAdded$6.43M
Republic Svcs Inc132K$28.9M0.8%$835KAdded$3.95M
Rogers Communications Inc737.8K$28.3M0.7%$358.3KAdded$4.58M
Hartford Insurance Group Inc188.8K$25.5M0.7%−$403.7KAdded$3.89M
Brookfield Infrast Partners705.4K$25.4M0.7%$722.4KAdded$4.08M
Waste Mgmt Inc Del105.4K$24.2M0.6%$921.6KAdded$4.13M
Nutrien Ltd.NTR297.9K$22.4M0.6%$4.02MCut−$10.1M
AbbVie Inc.ABBV98.6K$21.4M0.6%−$876.7KAdded$3.23M
Parker-Hannifin CorpPH22.7K$20.3M0.5%$255.4KAdded$6.55M
Pembina Pipeline Corp445.9K$19.9M0.5%$2.91MCut$2.89M
Nvidia CorpNVDA112.4K$19.6M0.5%−$569KAdded$10.8M
Home Depot, Inc.HD58.4K$19.2M0.5%−$731.4KAdded$2.66M
Tc Energy Corp282.9K$17.6M0.5%$2.04MCut$2.01M
Amphenol Corp New129.7K$16.4M0.4%−$171.8KAdded$13.8M
Oracle Corp108.3K$15.9M0.4%−$4.26MAdded−$1.42M
Wec Energy Group, Inc.WEC137.3K$15.9M0.4%$1MAdded$5.67M
Brookfield Asset Managmt Ltd358.6K$15.9M0.4%−$329.3KAdded$13.8M
Darden Restaurants IncDRI80.9K$15.9M0.4%$799.7KAdded$3.61M
Granite Real Estate Invt Tr268.5K$15.7M0.4%−$253.7KCut−$342.9K
Amazon Com IncAMZN71.8K$14.9M0.4%−$639.5KAdded$8.4M
Eli Lilly & CoLLY16K$14.7M0.4%−$1.8MAdded$2.22M
Ww Grainger Inc13K$14.2M0.4%$910.6KAdded$2.99M
Motorola Solutions, Inc.MSI31.9K$13.9M0.4%$1.29MAdded$4.12M
Descartes Sys Group Inc190.9K$13.6M0.4%−$2.46MAdded$419K
Icici Bank Limited525.3K$13.6M0.4%−$1.87MAdded−$646.9K
Jpmorgan Chase & Co.42.2K$12.4M0.3%−$476.5KAdded$6.93M
Air Prods & Chems Inc40.8K$11.9M0.3%$1.13MAdded$5.45M
Brookfield Infrastructure CorpBIPC300.8K$11.8M0.3%−$1.81MCut−$1.95M
Illinois Tool Wks Inc44.5K$11.6M0.3%$373.4KAdded$5M
Amgen IncAMGN32.3K$11.4M0.3%$608KAdded$3.25M
Vistra Corp.VST72.6K$10.9M0.3%−$89.3KAdded$9.6M
Procter And Gamble CoPG71.8K$10.4M0.3%$81.1KCut−$102.4K
Hudbay Minerals Inc.HBM453.8K$9.47M0.3%$450.9KCut−$2.49M
Unilever Plc145K$8.26M0.2%−$1.19MAdded−$934.7K
Cme Group Inc.CME27.2K$8.03M0.2%$605.7KCut−$2.64M
Booking Holdings Inc.BKNG1.82K$7.67M0.2%−$1.78MAdded−$634.9K
Aflac IncAFL60.9K$6.68M0.2%−$16.1KAdded$3.51M
Cenovus Energy Inc.CVE239.6K$6.34M0.2%$2.28MHeld
Vertiv Holdings CoVRT25K$6.27M0.2%$1.09MAdded$4.28M
Yum China Hldgs Inc124.6K$6.08M0.2%$129.6KCut−$1.27M
Sanofi Sa125.3K$6.04M0.2%−$33.7KAdded$203.4K
Alphabet Inc19.6K$5.61M0.1%−$516.6KAdded−$407.3K
Visa Inc.V18.4K$5.55M0.1%−$294.8KAdded$3.42M
Oshkosh CorpOSK37.2K$5.48M0.1%$803.4KHeld
Intuitive Surgical IncISRG11.7K$5.41M0.1%−$765KAdded$1.3M
Lam Research CorpLRCX24.6K$5.25M0.1%$70.5KAdded$4.97M
Unitedhealth Group IncUNH19.3K$5.23M0.1%−$1.15MCut−$2.17M
Emerson Elec Co39.4K$5.16M0.1%−$49.8KAdded$1.27M
Equinox Gold Corp.EQX357K$5.14M0.1%$115.3KHeld
NIKE, Inc.NKE96.2K$5.08M0.1%−$1.05MCut−$1.6M
Chevron Corp NewCVX23.5K$4.85M0.1%$1.01MAdded$2.04M
Analog Devices IncADI13.3K$4.23M0.1%New
Chubb Limited12.9K$4.21M0.1%$37.9KAdded$3.35M
Netflix IncNFLX43.5K$4.18M0.1%$27.4KAdded$3.11M
Duke Energy Corp New31K$4.05M0.1%$392.2KAdded$706.5K
Colgate Palmolive CoCL46.9K$4M0.1%$291.2KCut−$862.4K
Monolithic Pwr Sys Inc3.62K$3.95M0.1%$108.6KAdded$3.43M
RTX CorpRTX19.7K$3.81M0.1%$187.5KCut$23.3K
Texas Instrs Inc19K$3.68M0.1%$391.8KCut$359.8K
Cadence Design System Inc13K$3.61M0.1%−$226.2KAdded$1.58M
Sherwin Williams CoSHW11.3K$3.61M0.1%−$11.2KAdded$2.57M
Disney Walt Co36.9K$3.56M0.1%−$577.8KAdded−$221.2K
Imperial Oil LtdIMO26.5K$3.46M0.1%$1.17MCut−$353.4K
Palo Alto Networks IncPANW21.1K$3.38M0.1%−$236.5KAdded$1.56M
Palantir Technologies Inc.PLTR22.2K$3.25M0.1%−$332.6KAdded$1.37M
Illumina, Inc.ILMN26.2K$3.23M0.1%−$207KCut−$1.1M
ServiceNow, Inc.NOW30.7K$3.21M0.1%−$816.3KAdded$634.6K
Starbucks CorpSBUX35.6K$3.19M0.1%$143.3KAdded$949.7K
Banco Santander Sa274.6K$3.1M0.1%−$102.7KAdded$422K
Henry Schein IncHSIC41.5K$3.06M0.1%−$78KHeld
Marketaxess Hldgs Inc18.3K$3.02M0.1%−$297.7KCut−$1.28M
Allegion plcALLE20.6K$2.99M0.1%New
Applied Matls Inc8.72K$2.98M0.1%$739.9KCut−$834.2K
Magna Intl Inc53.5K$2.98M0.1%$125KCut−$856.3K
Danaher Corporation15.6K$2.96M0.1%−$544.7KAdded−$212.9K
Ishares Tr36.5K$2.9M0.1%−$29.3KAdded$527.6K
Verisk Analytics, Inc.VRSK14.8K$2.81M0.1%−$502.3KCut−$1.42M
Walmart Inc.WMT22.3K$2.77M0.1%$26.9KAdded$2.54M
Moodys Corp6.29K$2.74M0.1%−$182.2KAdded$1.5M
American Express CoAXP8.99K$2.72M0.1%−$606.4KHeld
Adobe Inc.ADBE9.8K$2.38M0.1%−$936.2KAdded−$682.7K
Tfi Intl IncTFII21.4K$2.33M0.1%$109.2KCut−$1.37M
Alcon IncALC30.4K$2.28M0.1%−$148.8KCut−$771.6K
Ishares Tr26.3K$2.27M0.1%$205.3KCut$24.7K
Accenture Plc Ireland10.8K$2.14M0.1%−$756.1KCut−$1.51M
Greenbrier Cos Inc39.3K$2.07M0.1%New
Ametek Inc/AME9.44K$2.02M0.1%$22.6KAdded$1.51M
Automatic Data Processing In9.3K$1.89M0.1%−$502.7KCut−$1.2M
Ishares Tr92.8K$1.7M0.0%$174.7KCut−$53.4K
Ishares Tr49.1K$1.67M0.0%$270.5KCut$24.5K
Intuit Inc.INTU3.84K$1.66M0.0%−$882.7KCut−$1.96M
Telus CorpTU127.6K$1.64M0.0%−$46.8KCut−$33.6M
Invesco Exchange Traded Fd T23.3K$1.56M0.0%−$80.4KAdded−$53.7K
Mitsubishi Ufj Finl Group In91.1K$1.55M0.0%$37.3KAdded$1.01M
Berkshire Hathaway Inc Del3.15K$1.51M0.0%−$74KHeld
Ats Corporation47K$1.32M0.0%$24.1KCut$21.1K
Autozone IncAZO382$1.29M0.0%−$5.24KHeld
Thermo Fisher Scientific Inc.TMO2.43K$1.2M0.0%−$213.8KHeld
Ing Groep N.V.44.9K$1.17M0.0%−$87.5KHeld
West Fraser Timber Co., LtdWFG17.9K$1.17M0.0%$71.4KCut$68.9K
Roper Technologies IncROP3.15K$1.12M0.0%−$288KCut−$2.05M
Waste Connections, Inc.WCN5.11K$827K0.0%−$59.2KAdded$58.2K
Taiwan Semiconductor Mfg Ltd2.4K$811.8K0.0%$81.8KCut$5.54K
Crh Plc7.41K$778.7K0.0%−$145.8KCut−$177.6K
Wabtec2.98K$744.2K0.0%$108.6KHeld
Mizuho Financial Group Inc84.3K$669.3K0.0%$52.3KCut$30.9K
Deckers Outdoor CorpDECK6.28K$628.6K0.0%−$22.5KCut−$263.8K
Ishares Tr13.6K$591.6K0.0%−$4.61KAdded−$264
National Grid Plc6.67K$564K0.0%$42.1KAdded$114.5K
Zimmer Biomet Holdings, Inc.ZBH6.21K$561.7K0.0%$3.11KCut−$381K
Emera Inc8.26K$426.8K0.0%$19.6KHeld
Brookfield Renewable Partner11.6K$376.1K0.0%$63.4KHeld
Thomson Reuters Corp2.94K$264.7K0.0%−$95.7KAdded−$36K
Colliers Intl Group Inc2.37K$252K0.0%−$72.6KAdded−$11.6K
Pepsico IncPEP1.59K$247.7K0.0%$18.8KCut−$94.6K
Bce Inc9.04K$227.3K0.0%$11.6KHeld
Hsbc Hldgs Plc2.68K$221.2K0.0%New
Patterson Uti Energy IncPTEN13.9K$150.8K0.0%New
Algonquin Pwr Utils Corp20.8K$127K0.0%−$976Cut−$342.4K

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.