Qv Investors Inc. Portfolio Stock Holdings

According to the SEC 13F filed on July 21, 2026, Qv Investors Inc. disclosed 63 stock positions valued at approximately $1.30B as of quarter-end June 30, 2026. The largest holdings include CANADIAN NATL RAILWAY CO, ROYAL BANK OF CANADA, and CANADIAN PACIFIC KANSAS CITY.

Report Period
June 30, 2026
No. of Stocks
63
Portfolio Value
$1.30B
Holdings by Sector
Qv Investors Inc. Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
CANADIAN NATL RAILWAY COCNIIndustrials5.43%591,760-24,350-3.95%$70,595,000
ROYAL BANK OF CANADARYFinancial Services5.20%326,549-85,821-20.81%$67,596,000
CANADIAN PACIFIC KANSAS CITYCPIndustrials4.56%683,546-29,430-4.13%$59,242,000
CGI INCGIBTechnology4.52%908,728+216,086+31.20%$58,716,000
TORONTO-DOMINION BANKTDFinancial Services3.69%394,545-66,839-14.49%$47,955,000
FORTIS INCFTSUtilities3.62%822,277-30,760-3.61%$47,091,000
TFI INTERNATIONAL INCTFIIIndustrials3.50%316,026-85,269-21.25%$45,475,000
FRANCO-NEVADA CORPFNVBasic Materials3.40%211,562-10,350-4.66%$44,129,000
SUN LIFE FINANCIAL INCSLFFinancial Services2.94%487,300-29,210-5.66%$38,246,000
ENBRIDGE INCENBEnergy2.90%696,095-34,230-4.69%$37,735,000
MAGNA INTERNATIONAL INCMGAConsumer Cyclical2.81%554,841-31,350-5.35%$36,472,000
STANTEC INCSTNIndustrials2.72%511,665+351,330+219.12%$35,278,000
BRP INC/CA- SUB VOTINGDOOOConsumer Cyclical2.62%558,363+119,825+27.32%$34,094,000
RB GLOBAL INCRBAIndustrials2.62%292,372-14,720-4.79%$34,026,000
BROOKFIELD CORPBNFinancial Services2.13%649,449-34,640-5.06%$27,699,000
ROGERS COMMUNICATIONS INC-BRCICommunication Services2.05%818,963-31,880-3.75%$26,634,000
WEST FRASER TIMBER CO LTDWFGBasic Materials1.85%355,987+119,945+50.82%$24,091,000
CANADIAN NATURAL RESOURCESCNQEnergy1.63%534,597-30,210-5.35%$21,147,000
EOG RESOURCES INCEOGEnergy1.63%162,995-4,250-2.54%$21,145,000
CENTENE CORPCNCHealthcare1.52%307,772-8,360-2.64%$19,756,000
PEPSICO INCPEPConsumer Defensive1.46%139,795-3,880-2.70%$18,928,000
DOLLAR GENERAL CORPDGConsumer Defensive1.42%159,850+27,220+20.52%$18,400,000
NOVO-NORDISK A/S-SPONS ADRNVOHealthcare1.36%369,468+81,870+28.47%$17,712,000
IMPERIAL OIL LTDIMOEnergy1.35%156,597-42,829-21.48%$17,579,000
UNION PACIFIC CORPUNPIndustrials1.31%62,791-1,730-2.68%$17,079,000
SOLVENTUM CORPSOLVHealthcare1.30%218,692-5,980-2.66%$16,872,000
NETFLIX INCNFLXCommunication Services1.26%230,060+139,170+153.12%$16,426,000
THOR INDUSTRIES INCTHOConsumer Cyclical1.15%197,996+87,590+79.33%$14,881,000
AMAZON.COM INCAMZNConsumer Cyclical1.14%61,920-1,780-2.79%$14,758,000
MICROSOFT CORPMSFTTechnology1.10%38,460+38,460+100.00%$14,346,000
Showing 30 of 63 holdings in the latest reporting period.