Onex Canada Asset Management as of March 31, 2026
Portfolio Holdings for Onex Canada Asset Management
Onex Canada Asset Management holds 78 positions in its portfolio as reported in the March 2026 quarterly 13F filing
| Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
|---|---|---|---|---|---|
| Apollo Global Mgmt (APO) | 5.5 | $33M | 299k | 111.42 | |
| NVIDIA Corporation (NVDA) | 5.1 | $31M | 176k | 174.40 | |
| Aon Shs Cl A (AON) | 5.0 | $30M | 93k | 322.93 | |
| Microsoft Corporation (MSFT) | 5.0 | $30M | 81k | 370.17 | |
| Alphabet Cap Stk Cl A (GOOGL) | 4.7 | $28M | 98k | 287.56 | |
| Apple (AAPL) | 4.5 | $27M | 107k | 253.79 | |
| Amazon (AMZN) | 3.6 | $22M | 105k | 208.27 | |
| Uber Technologies (UBER) | 3.3 | $20M | 271k | 71.98 | |
| Meta Platforms Cl A (META) | 2.9 | $18M | 31k | 572.13 | |
| S&p Global (SPGI) | 2.8 | $17M | 40k | 425.34 | |
| Wayfair Cl A (W) | 2.6 | $16M | 208k | 75.21 | |
| Aramark Hldgs (ARMK) | 2.5 | $15M | 367k | 40.55 | |
| Broadcom (AVGO) | 2.4 | $15M | 47k | 309.51 | |
| Berkshire Hathaway Inc Del Cl A (BRK.A) | 2.3 | $14M | 19.00 | 718140.00 | |
| Rb Global (RBA) | 2.1 | $13M | 134k | 95.85 | |
| First Advantage Corp (FA) | 1.7 | $10M | 886k | 11.76 | |
| Ensign (ENSG) | 1.7 | $10M | 51k | 201.50 | |
| Sotera Health (SHC) | 1.7 | $10M | 715k | 14.35 | |
| Exxon Mobil Corporation (XOM) | 1.7 | $10M | 59k | 169.66 | |
| Parker-Hannifin Corporation (PH) | 1.6 | $9.4M | 11k | 895.24 | |
| Alphabet Cap Stk Cl C (GOOG) | 1.5 | $8.9M | 31k | 286.86 | |
| JPMorgan Chase & Co. (JPM) | 1.5 | $8.9M | 30k | 292.93 | |
| Gildan Activewear Inc Com Cad (GIL) | 1.4 | $8.3M | 150k | 55.65 | |
| Union Pacific Corporation (UNP) | 1.3 | $7.8M | 32k | 242.62 | |
| Bank of America Corporation (BAC) | 1.2 | $7.3M | 150k | 48.75 | |
| Mastercard Incorporated Cl A (MA) | 1.1 | $6.9M | 14k | 496.97 | |
| Caterpillar (CAT) | 1.1 | $6.7M | 9.5k | 708.46 | |
| Netflix (NFLX) | 1.1 | $6.3M | 66k | 96.15 | |
| Latham Group (SWIM) | 1.0 | $6.0M | 1.1M | 5.37 | |
| Thermo Fisher Scientific (TMO) | 1.0 | $6.0M | 12k | 491.53 | |
| Visa Com Cl A (V) | 1.0 | $6.0M | 20k | 300.10 | |
| Eli Lilly & Co. (LLY) | 1.0 | $6.0M | 6.5k | 919.77 | |
| Hilton Worldwide Holdings (HLT) | 1.0 | $6.0M | 20k | 304.08 | |
| Coca-Cola Company (KO) | 1.0 | $5.9M | 77k | 76.05 | |
| Cme (CME) | 1.0 | $5.8M | 20k | 295.35 | |
| Micron Technology (MU) | 0.9 | $5.6M | 17k | 337.84 | |
| Cbre Group Cl A (CBRE) | 0.8 | $5.1M | 38k | 135.46 | |
| Texas Instruments Incorporated (TXN) | 0.8 | $4.9M | 25k | 194.14 | |
| Chevron Corporation (CVX) | 0.8 | $4.8M | 23k | 206.90 | |
| TJX Companies (TJX) | 0.8 | $4.8M | 30k | 159.70 | |
| Procter & Gamble Company (PG) | 0.8 | $4.8M | 33k | 143.85 | |
| Ge Aerospace Com New (GE) | 0.8 | $4.7M | 17k | 283.77 | |
| Marsh & McLennan Companies (MRSH) | 0.8 | $4.6M | 27k | 173.45 | |
| McDonald's Corporation (MCD) | 0.7 | $4.5M | 15k | 310.79 | |
| Servicenow (NOW) | 0.7 | $4.4M | 42k | 104.55 | |
| Sherwin-Williams Company (SHW) | 0.7 | $4.3M | 14k | 320.55 | |
| Abbott Laboratories (ABT) | 0.7 | $4.2M | 41k | 102.67 | |
| O'reilly Automotive (ORLY) | 0.7 | $4.2M | 45k | 92.31 | |
| Danaher Corporation (DHR) | 0.7 | $4.1M | 21k | 189.60 | |
| Becton, Dickinson and (BDX) | 0.6 | $3.8M | 24k | 157.23 | |
| Advanced Micro Devices (AMD) | 0.6 | $3.8M | 19k | 203.43 | |
| Home Depot (HD) | 0.6 | $3.6M | 11k | 328.89 | |
| Nextera Energy (NEE) | 0.6 | $3.6M | 39k | 92.88 | |
| American Electric Power Company (AEP) | 0.6 | $3.5M | 27k | 131.08 | |
| UnitedHealth (UNH) | 0.6 | $3.5M | 13k | 270.59 | |
| Thredup Cl A (TDUP) | 0.5 | $2.8M | 863k | 3.28 | |
| CSX Corporation (CSX) | 0.4 | $2.5M | 62k | 41.05 | |
| Vistra Energy (VST) | 0.4 | $2.1M | 14k | 150.33 | |
| Intuit (INTU) | 0.3 | $2.1M | 4.8k | 432.38 | |
| Johnson & Johnson (JNJ) | 0.3 | $2.1M | 8.5k | 244.44 | |
| Abbvie (ABBV) | 0.3 | $2.1M | 9.5k | 217.49 | |
| Carrier Global Corporation (CARR) | 0.3 | $2.0M | 36k | 56.31 | |
| Metropcs Communications (TMUS) | 0.3 | $1.9M | 8.9k | 210.03 | |
| Adobe Systems Incorporated (ADBE) | 0.3 | $1.9M | 7.7k | 243.08 | |
| Quanta Services (PWR) | 0.3 | $1.7M | 3.2k | 549.02 | |
| L3harris Technologies (LHX) | 0.3 | $1.6M | 4.7k | 345.15 | |
| PPG Industries (PPG) | 0.2 | $1.3M | 12k | 106.88 | |
| Primo Brands Corporation Class A Com Shs (PRMB) | 0.2 | $1.1M | 59k | 18.83 | |
| Applied Materials (AMAT) | 0.2 | $1.1M | 3.1k | 341.79 | |
| Expedia Group Com New (EXPE) | 0.2 | $1.0M | 4.5k | 230.89 | |
| Anthem (ELV) | 0.2 | $1.0M | 3.6k | 292.75 | |
| Waters Corporation (WAT) | 0.2 | $1.0M | 3.4k | 297.80 | |
| Walt Disney Company (DIS) | 0.2 | $1.0M | 11k | 96.38 | |
| Seagate Technology Hldngs Pl Ord Shs (STX) | 0.2 | $996k | 2.5k | 391.76 | |
| Accenture Plc Ireland Shs Class A (ACN) | 0.2 | $984k | 5.0k | 198.29 | |
| Merck & Co (MRK) | 0.1 | $878k | 7.3k | 120.29 | |
| Raytheon Technologies Corp (RTX) | 0.1 | $637k | 3.3k | 192.90 | |
| Hca Holdings (HCA) | 0.1 | $632k | 1.3k | 473.24 |