13F

Investor

Guardian Partners Inc.

CIK 0001884799 · filed 2026-05-18 · SEC filing

13F book

$1.2B

Positions

192

16 new · 25 sold

Largest name

6.8%

Royal Bk Cda

Est. mark

−$18.8M

Price effect on 176 names still held. Flow −$29.1M.
NameTickerSharesValueWeightEst. markChange
Royal Bk Cda503.9K$81.4M6.8%−$3.88MCut−$4.44M
Toronto Dominion Bk Ont702.8K$65.6M5.5%−$1.19MCut−$2.44M
Bank Montreal Que368.2K$49.9M4.2%−$1.78MCut−$2.3M
Enbridge Inc823.7K$44.8M3.7%$3.69MAdded$3.7M
Bank Nova Scotia Halifax632.5K$43.9M3.7%−$3.22MCut−$3.66M
Canadian Imperial Bank Of Co377K$35.7M3.0%$67.5KCut−$360.3K
Jpmorgan Chase & Co.95.9K$28.3M2.4%−$2.05MCut−$3.61M
Canadian Nat Res Ltd550.6K$26.8M2.2%$5.73MCut$5.39M
Microsoft CorpMSFT71.6K$26.6M2.2%−$2.87MAdded−$1.82M
Nutrien Ltd.NTR350.4K$26.4M2.2%$1.52MCut$946.8K
Canadian Natl Ry Co249.9K$25.7M2.1%$1.06MAdded$1.16M
Apple Inc.AAPL97.4K$24.8M2.1%−$2.07MCut−$4.26M
Johnson & JohnsonJNJ96.1K$23.5M2.0%$1.09MCut$806.7K
Ishares Tr165.4K$22.9M1.9%New
Brookfield Corp508.8K$20.7M1.7%−$2.54MCut−$3.55M
Imperial Oil LtdIMO154.8K$20.3M1.7%$3.25MCut$2.86M
Suncor Energy Inc New293.9K$19.4M1.6%$4.01MAdded$4.03M
Ing Groep N.V.712.6K$18.6M1.6%−$3.14MCut−$3.33M
Emerson Elec Co132.9K$17.5M1.5%−$3.38MCut−$3.47M
Fortis Inc307.7K$17.2M1.4%$522.7KAdded$526.3K
Mcdonalds CorpMCD54.3K$16.9M1.4%−$592.8KCut−$649K
Alphabet Inc57K$16.4M1.4%−$2.5MCut−$6.26M
Duke Energy Corp New124.4K$16.3M1.4%$1.18MCut$1.06M
First Tr Exchange-Traded Fd511K$16.2M1.4%$775.1KAdded$14.1M
Brookfield Asset Managmt Ltd341.6K$15.2M1.3%−$1.7MAdded−$1.65M
Walmart Inc.WMT121.3K$15.1M1.3%−$354.5KCut−$839.4K
Chevron Corp NewCVX70.7K$14.7M1.2%$1.9MCut$1.87M
National Grid Plc171.2K$14.5M1.2%−$452.1KCut−$659.4K
Rogers Communications Inc371.1K$14.3M1.2%$505.6KAdded$593.5K
Agnico Eagle Mines LtdAEM63.5K$12.9M1.1%$194.9KAdded$4.07M
Mastercard IncMA24.7K$12.4M1.0%−$1.24MAdded−$1.11M
Pembina Pipeline Corp266.9K$12M1.0%$737.1KCut$642.5K
Taiwan Semiconductor Mfg Ltd34.8K$11.8M1.0%$482.5KCut−$178.8K
Magna Intl Inc210.4K$11.7M1.0%$595.9KAdded$608.4K
Tc Energy Corp184.6K$11.7M1.0%$752.7KCut$606.6K
RTX CorpRTX56.9K$11M0.9%−$149.7KCut−$302.9K
Costco Whsl Corp New10.4K$10.4M0.9%$250KCut$44.3K
Sanofi Sa204.1K$9.86M0.8%$81KAdded$130.6K
Emera Inc186.4K$9.67M0.8%$327.6KCut$273.3K
Mitsubishi Ufj Finl Group In558.2K$9.5M0.8%−$820.9KCut−$1.11M
Invesco Exch Traded Fd Tr Ii117.4K$9.29M0.8%−$607KCut−$2.38M
Sun Life Financial Inc.145.8K$9.16M0.8%−$358.3KCut−$510.2K
Texas Instrs Inc46.6K$9.07M0.8%−$1.27MAdded−$1.16M
Bhp Group Ltd122.2K$8.91M0.7%$99.8KAdded$1.28M
Pepsico IncPEP57.1K$8.9M0.7%−$566.3KCut−$694K
Sap Se50.3K$8.63M0.7%−$1.36MAdded−$1.24M
American Express CoAXP26.4K$8M0.7%−$1.29MCut−$1.36M
Aflac IncAFL72.6K$7.98M0.7%−$233.5KAdded−$183.4K
Spdr S&P 500 Etf Tr12K$7.85M0.7%−$378.6KAdded−$354.5K
Manulife Finl Corp196.5K$6.82M0.6%−$494.4KAdded−$329.4K
AbCellera Biologics Inc.ABCL1.79M$6.25M0.5%$434KAdded$434K
Ishares 0-3 Month61K$6.14M0.5%New
Cme Group Inc.CME19.9K$5.89M0.5%$47.4KAdded$74.3K
Oracle Corp37.8K$5.57M0.5%$51.3KCut−$42K
American Elec Pwr Co Inc42K$5.52M0.5%$498.7KCut$464.5K
Applied Matls Inc15K$5.15M0.4%$671KAdded$849.6K
Starbucks CorpSBUX57.2K$5.14M0.4%−$385.7KAdded−$362.7K
Telus CorpTU396.8K$5.1M0.4%−$530.1KCut−$1.62M
NIKE, Inc.NKE95.5K$5.06M0.4%−$1.05MCut−$1.67M
Amazon Com IncAMZN23.1K$4.82M0.4%−$492.8KAdded−$37.3K
Wells Fargo Co New56.2K$4.49M0.4%−$731.8KCut−$903.5K
Tfi Intl IncTFII39.3K$4.28M0.4%−$491.2KAdded−$345.4K
Bce Inc155.9K$4.06M0.3%−$26.5KCut−$102.4K
Cenovus Energy Inc.CVE142.2K$3.76M0.3%$814.3KAdded$1.14M
Nvidia CorpNVDA20.9K$3.65M0.3%$25.6KCut−$430.4K
Unitedhealth Group IncUNH13.2K$3.59M0.3%−$52.4KCut−$1.24M
Cameco CorpCCJ32.8K$3.55M0.3%−$141.9KAdded$774.3K
Eli Lilly & CoLLY3.64K$3.35M0.3%−$286.6KCut−$478.7K
Ishares Inc42K$3.32M0.3%$224.3KCut−$8.1M
Alphabet Inc11.4K$3.28M0.3%−$509.1KCut−$566.9K
Qualcomm Inc24.7K$3.19M0.3%−$477.4KCut−$769.2K
Disney Walt Co33K$3.19M0.3%−$329.7KAdded−$319.9K
Broadcom Inc.AVGO9.93K$3.08M0.3%$25.1KAdded$659.3K
Sprott Asset Management Lp85.3K$3.02M0.3%−$144.5KAdded−$135.2K
Danaher Corporation15.6K$2.97M0.2%−$436.6KAdded−$365.5K
Nasdaq, Inc.NDAQ32.8K$2.79M0.2%−$99.7KCut−$364.1K
Goldman Sachs Group Inc3.24K$2.75M0.2%−$124KAdded$928.7K
MDA Space Ltd.MDA106.1K$2.69M0.2%New
Unilever Plc44.6K$2.55M0.2%−$600.6KCut−$681.7K
Berkshire Hathaway Inc Del5.24K$2.52M0.2%−$114KAdded−$77.5K
Waste Connections, Inc.WCN15.4K$2.51M0.2%−$95.5KCut−$415.7K
Novo-Nordisk A S65.5K$2.41M0.2%−$666.6KCut−$1.09M
Illumina, Inc.ILMN19.5K$2.41M0.2%−$195.9KCut−$356.2K
Intuit Inc.INTU5.43K$2.35M0.2%−$56.6KCut−$63.7K
Corning Inc15.7K$2.14M0.2%$422.2KAdded$422.3K
Ishares Inc55K$2.11M0.2%$42.3KAdded$1M
Booking Holdings Inc.BKNG478$2.02M0.2%−$177.2KAdded−$147.6K
Wheaton Precious Metals Corp.WPM15.1K$1.98M0.2%−$69.4KAdded$813.3K
Pfizer IncPFE67.7K$1.91M0.2%$97.9KAdded$106.8K
Thomson Reuters Corp19.4K$1.83M0.2%$29.5KCut−$41K
Shell Plc18.6K$1.73M0.1%$265.3KCut$261.1K
Planet Labs PbcPL60K$1.68M0.1%$370.8KCut−$64.6K
Canadian Pacific Kansas City20.4K$1.61M0.1%−$10.6KAdded$20.9K
Uber Technologies, IncUBER22.2K$1.6M0.1%−$33.1KAdded−$24K
Merck & Co., Inc.MRK12.9K$1.55M0.1%$34.7KAdded$72.1K
Teck Resources Ltd29.5K$1.53M0.1%−$113.6KAdded−$110K
Vistra Corp.VST9.95K$1.5M0.1%$66.8KAdded$421.2K
Ishares Tr17.9K$1.48M0.1%$404Added$338.7K
Crowdstrike Hldgs Inc3.7K$1.45M0.1%−$35.5KAdded$787.2K
Petroleo Brasileiro Sa Petro68K$1.41M0.1%New
GE Vernova Inc.GEV1.53K$1.34M0.1%$202.3KAdded$203.2K
Alibaba Group Hldg Ltd10.5K$1.33M0.1%−$344.7KCut−$836.1K
Ishares Gold Tr15K$1.32M0.1%−$71.4KCut−$1.47M
Brookfield Renewable CorpBEPC23.6K$1.31M0.1%$290.6KAdded$441.8K
Shopify Inc.SHOP11K$1.31M0.1%$53.3KCut$50.9K
Rocket Cos Inc91.3K$1.3M0.1%−$515.9KCut−$735.2K
Freeport-Mcmoran IncFCX22.1K$1.3M0.1%−$60KAdded−$50.5K
Verisk Analytics, Inc.VRSK6.79K$1.29M0.1%$6.31KCut−$12.4K
Novartis Ag8.09K$1.24M0.1%$5.75KCut−$1.72K
Philip Morris Intl Inc7.44K$1.23M0.1%−$111.6KAdded−$111.5K
NexGen Energy Ltd.NXE96K$1.11M0.1%New
CGI IncGIB14.7K$1.08M0.1%−$136.8KCut−$208.1K
Travelers Companies, Inc.TRV3.65K$1.07M0.1%−$9.39KAdded−$9.1K
Spdr Series Trust11.4K$1.05M0.1%$8.46KCut−$58.3K
Automatic Data Processing In5.13K$1.04M0.1%−$154.6KAdded−$145K
Rocket Lab CorpRKLB16K$1.03M0.1%−$142.2KHeld
Select Sector Spdr Tr7K$1.03M0.1%−$65.9KCut−$1M
Morgan Stanley6.21K$1.02M0.1%−$96.3KHeld
Transalta Corp72.1K$947.2K0.1%$44.2KAdded$44.2K
Altria Group, Inc.MO14.3K$940.7K0.1%$12.4KAdded$12.5K
Elevance Health Inc Formerly2.96K$868.7K0.1%−$136.1KCut−$289.6K
Cummins IncCMI1.58K$852.2K0.1%−$106KAdded−$97.4K
Ishares Tr8.35K$830.4K0.1%−$43Added$92.6K
Union Pac Corp3.35K$813.2K0.1%−$22.8KAdded−$22.6K
ServiceNow, Inc.NOW7.76K$813.2K0.1%New
Home Depot, Inc.HD2.46K$810.4K0.1%−$133.2KAdded−$83.2K
Bank America Corp15.2K$741.2K0.1%−$95.8KAdded−$95.8K
Mp Materials Corp14.9K$721.2K0.1%−$177.8KCut−$1.4M
Restaurant Brands Intl Inc9.49K$702.3K0.1%$37.2KAdded$59.7K
Procter And Gamble CoPG4.77K$689.1K0.1%−$53.4KAdded$3.68K
Ishares Tr6.16K$671.7K0.1%−$3.89KAdded$88.9K
Open Text CorpOTEX29.8K$664.5K0.1%−$33.4KCut−$4.62M
Visa Inc.V2.17K$658.7K0.1%−$55.6KAdded−$54.7K
Meta Platforms, Inc.META1.14K$651K0.1%−$105.9KCut−$107.3K
Boeing Co3.23K$643.9K0.1%−$114.5KCut−$1.51M
Colgate Palmolive CoCL7.46K$636.7K0.1%−$65.8KCut−$70.8K
Vanguard Index Fds1.98K$635.5K0.1%−$30.6KCut−$239K
Pampa Energia S A7K$619.5K0.1%New
Algonquin Pwr Utils Corp97.1K$594.7K0.1%−$38.6KCut−$49.1K
Snowflake Inc.SNOW3.8K$575K0.0%−$51.6KCut−$925.2K
BlackRock, Inc.BLK591$569K0.0%−$66.2KCut−$1.7M
Ishares Inc293$553.4K0.0%New
Roper Technologies IncROP1.56K$552K0.0%−$6.58KCut−$63.3K
Cisco Sys Inc6.91K$536.7K0.0%−$22.6KCut−$42.8K
ConocophillipsCOP4.03K$532.5K0.0%$98.9KCut$91.8K
Ishares Tr5.83K$464.7K0.0%−$4.1KAdded$42.2K
South Bow CorpSOBO13.9K$463K0.0%$64.9KCut$64.2K
Ameris BancorpABCB5.7K$445.9K0.0%−$32KAdded−$31.9K
Almonty Inds Inc30K$434.4K0.0%New
AbbVie Inc.ABBV1.98K$430K0.0%$786Added$1K
Tesla, Inc.TSLA1.13K$419.8K0.0%−$35.5KAdded−$35.2K
Franco Nev Corp1.68K$416.4K0.0%$16.4KCut$14.1K
Barrick Mng Corp9.82K$401.1K0.0%−$67.6KCut−$110.1K
Lamar Advertising Co/NewLAMR3.11K$394.3K0.0%−$4.91KAdded$12.3K
Public Svc Enterprise Grp In4.85K$392.9K0.0%$3.68KAdded$28.8K
Old Rep Intl Corp9.74K$388.5K0.0%−$8.07KAdded$26.4K
Darden Restaurants IncDRI1.97K$387K0.0%−$31.9KHeld
Ishares Tr7.45K$377.8K0.0%$1.94KAdded$1.99K
Simon Ppty Group Inc New1.96K$365.4K0.0%−$16.7KAdded$5.13K
Snap-on IncSNA1K$365K0.0%−$19.8KHeld
Ishares Tr3.3K$362.1K0.0%$695Added$805
Hecla Mng Co19K$354K0.0%New
Dicks Sporting Goods Inc1.72K$340.3K0.0%−$19.7KAdded$1.94K
Capital One Finl Corp1.85K$338.3K0.0%−$78KCut−$145.3K
Yum China Hldgs Inc6.92K$337.6K0.0%−$29.3KAdded−$22.9K
Precision Drilling CorpPDS3.37K$331.9K0.0%$50.5KAdded$50.6K
Ishares Interst Rate Hdg3.48K$322.1K0.0%−$2.25KCut−$25.2K
Cvs Health CorpCVS4.48K$321.7K0.0%−$14.9KCut−$71.2K
Abivax Sa2.7K$300.6K0.0%New
3M COMMM2.05K$298K0.0%−$37.7KCut−$44.1K
Circle Internet Group, Inc.CRCL3K$286.2K0.0%New
Ishares Tr4K$281.6K0.0%−$9.56KAdded−$9.49K
Invesco Qqq Tr476$275.3K0.0%−$12.3KCut−$5.12M
Newmont Corp2.87K$260K0.0%−$17.1KAdded−$17K
Watsco Inc708$257.6K0.0%−$31.6KAdded−$23.6K
Ishares Tr2.59K$251.8K0.0%−$10.3KAdded$16.1K
Brookfield Business CorpBBUC7.55K$238.3K0.0%New
Waters Corp789$235.4K0.0%−$61.2KAdded−$40.9K
Energy Fuels IncUUUU12.8K$233.8K0.0%−$38.5KAdded−$38.5K
Marketaxess Hldgs Inc1.4K$231.7K0.0%$4.89KCut−$11.1K
Celestica IncCLS816$230.1K0.0%−$8.47KCut−$18.4K
At&T Inc7.84K$227.6K0.0%$14.6KCut−$26.1K
Paychex IncPAYX2.44K$224.9K0.0%−$15.5KCut−$108.7K
Amphenol Corp New1.74K$220K0.0%−$6.28KAdded−$6.15K
Ryman Hospitality Pptys Inc2.33K$214.7K0.0%−$8.89KAdded−$4.46K
United Parcel Service IncUPS2.13K$209.6K0.0%−$37.9KCut−$40.6K
Ishares Tr2.31K$209.2K0.0%−$9.95KAdded−$6.42K
Ugi Corp New5.73K$208.7K0.0%New
Spdr Gold Tr479$206.7K0.0%−$10.7KCut−$1.73M
Ares Management Corporation1.89K$205.9K0.0%New
Hartford Insurance Group Inc1.5K$203.6K0.0%−$7.03KAdded−$6.9K
Direxion Shs Etf Tr5K$203.1K0.0%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.