Beutel, Goodman & Company

Beutel, Goodman & Co as of Dec. 31, 2019

Portfolio Holdings for Beutel, Goodman & Co

Beutel, Goodman & Co holds 70 positions in its portfolio as reported in the December 2019 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Rogers Communications -cl B (RCI) 15.1 $2.9B 23M 124.73
Rbc Cad (RY) 8.1 $1.5B 20M 79.20
Tor Dom Bk Cad (TD) 7.5 $1.4B 26M 56.13
Canadian Natural Resources (CNQ) 4.5 $863M 27M 32.35
Magna Intl Inc cl a (MGA) 4.1 $780M 14M 54.84
Bk Nova Cad (BNS) 4.0 $776M 14M 56.49
Sun Life Financial (SLF) 3.8 $731M 16M 45.57
Nutrien (NTR) 3.6 $686M 14M 47.91
Brookfield Asset Management 3.5 $680M 12M 57.80
Bank Of Montreal Cadcom (BMO) 2.9 $556M 7.2M 77.50
Canadian Natl Ry (CNI) 2.4 $469M 5.2M 90.45
Suncor Energy (SU) 2.4 $464M 14M 32.80
Telus Ord (TU) 1.9 $359M 9.3M 38.73
Open Text Corp (OTEX) 1.8 $341M 7.7M 44.07
Verizon Communications (VZ) 1.5 $292M 4.8M 61.40
Amgen (AMGN) 1.5 $288M 1.2M 241.07
Nortonlifelock (GEN) 1.5 $287M 11M 25.52
Kellogg Company (K) 1.5 $281M 4.1M 69.16
Omni (OMC) 1.4 $275M 3.4M 81.02
Manulife Finl Corp (MFC) 1.4 $272M 13M 20.29
Parker-Hannifin Corporation (PH) 1.3 $257M 1.2M 205.82
Cenovus Energy (CVE) 1.3 $247M 24M 10.15
Canadian Pacific Railway 1.3 $241M 945k 254.95
Franco-Nevada Corporation (FNV) 1.2 $239M 2.3M 103.30
Amdocs Ltd ord (DOX) 1.2 $238M 3.3M 72.19
Ameriprise Financial (AMP) 1.2 $230M 1.4M 166.58
Cameco Corporation (CCJ) 1.2 $225M 25M 8.90
Comcast Corporation (CMCSA) 1.1 $214M 4.8M 44.97
AmerisourceBergen (COR) 1.1 $205M 2.4M 85.02
Gardner Denver Hldgs 1.1 $202M 5.5M 36.68
Harley-Davidson (HOG) 1.0 $192M 5.2M 37.19
Kimberly-Clark Corporation (KMB) 1.0 $185M 1.3M 137.55
Teck Resources Ltd cl b (TECK) 1.0 $186M 11M 17.37
Cummins (CMI) 1.0 $183M 1.0M 178.96
Oracle Corporation (ORCL) 0.9 $168M 3.2M 52.98
Campbell Soup Company (CPB) 0.8 $156M 3.2M 49.42
Cibc Cad (CM) 0.8 $150M 1.8M 83.20
Thomson Reuters Corp 0.8 $148M 2.1M 71.60
American Express Company (AXP) 0.8 $146M 1.2M 124.49
BlackRock (BLK) 0.7 $142M 283k 502.70
Ingersoll-rand Co Ltd-cl A 0.6 $112M 840k 132.92
Industries N shs - a - (LYB) 0.6 $109M 1.2M 94.48
KLA-Tencor Corporation (KLAC) 0.5 $101M 568k 178.17
Flowserve Corporation (FLS) 0.5 $100M 2.0M 49.77
AutoZone (AZO) 0.5 $96M 81k 1191.31
Colliers International Group sub vtg (CIGI) 0.5 $86M 1.1M 77.97
Alamos Gold Inc New Class A (AGI) 0.4 $69M 11M 6.02
JPMorgan Chase & Co. (JPM) 0.3 $66M 475k 139.40
Wells Fargo & Company (WFC) 0.3 $56M 1.0M 53.80
Merck & Co (MRK) 0.2 $37M 407k 90.95
Firstservice Corp (FSV) 0.2 $31M 329k 93.04
GlaxoSmithKline 0.1 $17M 355k 46.99
Smith & Nephew (SNN) 0.1 $18M 365k 48.07
Vodafone Group New Adr F (VOD) 0.1 $14M 747k 19.33
Crh Medical Corp cs 0.1 $15M 4.4M 3.47
Denison Mines Corp (DNN) 0.1 $9.7M 23M 0.42
Molson Coors Brewing Company (TAP) 0.0 $7.8M 145k 53.90
iShares MSCI EAFE Index Fund (EFA) 0.0 $3.2M 47k 69.44
Bce (BCE) 0.0 $1.7M 37k 46.34
Costco Wholesale Corporation (COST) 0.0 $29k 100.00 290.00
Berkshire Hathaway (BRK.A) 0.0 $339k 1.00 339000.00
Pepsi (PEP) 0.0 $27k 200.00 135.00
UnitedHealth (UNH) 0.0 $36k 125.00 288.00
TJX Companies (TJX) 0.0 $36k 600.00 60.00
Fortis (FTS) 0.0 $83k 2.0k 41.50
Eaton (ETN) 0.0 $239k 2.5k 94.47
Alphabet Inc Class C cs (GOOG) 0.0 $48k 36.00 1333.33
Aurora Cannabis Inc snc 0.0 $162k 75k 2.16
Cgi Inc Cl A Sub Vtg (GIB) 0.0 $25k 300.00 83.33
Tc Energy Corp (TRP) 0.0 $119k 2.3k 52.89