Onex Canada Asset Management Inc.
Institutional manager — quarterly 13F holdings, Q ending 2026-03-31
Reported value
$601.1M
Q ending 2026-03-31
Prior quarter
$720.5M
Q ending 2025-12-31
Change
-16.6% QoQ · -22.6% YoY
Positions
78
reported holdings
Largest positions
All 78 reported positions, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
| Holding | Ticker | Type | Value ▼ | Shares |
|---|---|---|---|---|
| Apollo Global Mgmt Inc | APO | Shares | $33.3M | 299K |
| Nvidia Corporation | NVDA | Shares | $30.8M | 176K |
| Aon Plc | Shares | $29.9M | 93K | |
| Microsoft Corp | MSFT | Shares | $29.9M | 81K |
| Alphabet Inc | GOOGL | Shares | $28.3M | 98K |
| Apple Inc | AAPL | Shares | $27.0M | 106K |
| Amazon Com Inc | AMZN | Shares | $21.8M | 105K |
| Uber Technologies Inc | UBER | Shares | $19.5M | 271K |
| Meta Platforms Inc | META | Shares | $17.6M | 31K |
| S&P Global Inc | SPGI | Shares | $16.8M | 40K |
| Wayfair Inc | W | Shares | $15.6M | 208K |
| Aramark | ARMK | Shares | $14.9M | 367K |
| Broadcom Inc | AVGO | Shares | $14.6M | 47K |
| Berkshire Hathaway Inc Del | BRK/A | Shares | $13.6M | 19 |
| Rb Global Inc | RBA | Shares | $12.9M | 134K |
| First Advantage Corp New | FA | Shares | $10.4M | 886K |
| Ensign Group Inc | ENSG | Shares | $10.4M | 51K |
| Sotera Health Co | SHC | Shares | $10.3M | 715K |
| Exxon Mobil Corp | XOM | Shares | $10.1M | 59K |
| Parker-Hannifin Corp | PH | Shares | $9.4M | 10K |
| Alphabet Inc | GOOG | Shares | $8.9M | 31K |
| Jpmorgan Chase & Co | JPM | Shares | $8.9M | 30K |
| Gildan Activewear Inc | GIL | Shares | $8.3M | 149K |
| Union Pac Corp | UNP | Shares | $7.8M | 32K |
| Bank America Corp | BAC | Shares | $7.3M | 150K |
| Mastercard Incorporated | MA | Shares | $6.9M | 14K |
| Caterpillar Inc | CAT | Shares | $6.7M | 9K |
| Netflix Inc. | NFLX | Shares | $6.3M | 66K |
| Latham Group Inc | SWIM | Shares | $6.0M | 1.1M |
| Thermo Fisher Scientific Inc | TMO | Shares | $6.0M | 12K |
| Visa Inc | V | Shares | $6.0M | 20K |
| Eli Lilly & Co | LLY | Shares | $6.0M | 6K |
| Hilton Worldwide Hldgs Inc | HLT | Shares | $6.0M | 20K |
| Coca Cola Co | KO | Shares | $5.9M | 77K |
| Cme Group Inc | CME | Shares | $5.8M | 20K |
| Micron Technology Inc | MU | Shares | $5.6M | 17K |
| Cbre Group Inc | CBRE | Shares | $5.1M | 38K |
| Texas Instrs Inc | TXN | Shares | $4.9M | 25K |
| Chevron Corporation | CVX | Shares | $4.8M | 23K |
| Tjx Cos Inc New | TJX | Shares | $4.8M | 30K |
| Procter & Gamble Co | PG | Shares | $4.8M | 33K |
| Ge Aerospace | GE | Shares | $4.7M | 17K |
| Marsh & Mclennan Cos Inc | MRSH | Shares | $4.6M | 26K |
| Mcdonalds Corp | MCD | Shares | $4.5M | 14K |
| Servicenow Inc | NOW | Shares | $4.4M | 42K |
| Sherwin Williams Co | SHW | Shares | $4.3M | 13K |
| Abbott Laboratories | ABT | Shares | $4.2M | 41K |
| Oreilly Automotive Inc | ORLY | Shares | $4.2M | 45K |
| Danaher Corp Del | DHR | Shares | $4.1M | 21K |
| Becton Dickinson & Co | BDX | Shares | $3.8M | 24K |
| Advanced Micro Devices Inc | AMD | Shares | $3.8M | 18K |
| Home Depot Inc | HD | Shares | $3.6M | 11K |
| Nextera Energy Inc | NEE | Shares | $3.6M | 39K |
| American Elec Pwr Co Inc | AEP | Shares | $3.5M | 27K |
| Unitedhealth Group Inc | UNH | Shares | $3.5M | 13K |
| Thredup Inc | TDUP | Shares | $2.8M | 862K |
| Csx Corp | CSX | Shares | $2.5M | 62K |
| Vistra Corp | VST | Shares | $2.1M | 14K |
| Intuit | INTU | Shares | $2.1M | 5K |
| Johnson & Johnson | JNJ | Shares | $2.1M | 9K |
| Abbvie Inc | ABBV | Shares | $2.1M | 9K |
| Carrier Global Corporation | CARR | Shares | $2.0M | 36K |
| T-Mobile Us Inc | TMUS | Shares | $1.9M | 9K |
| Adobe Inc | ADBE | Shares | $1.9M | 8K |
| Quanta Svcs Inc | PWR | Shares | $1.7M | 3K |
| L3Harris Technologies Inc | LHX | Shares | $1.6M | 5K |
| Ppg Inds Inc | PPG | Shares | $1.3M | 12K |
| Primo Brands Corporation | PRMB | Shares | $1.1M | 59K |
| Applied Matls Inc | AMAT | Shares | $1.1M | 3K |
| Expedia Group Inc | EXPE | Shares | $1.0M | 5K |
| Elevance Health Inc Formerly | ELV | Shares | $1.0M | 4K |
| Waters Corp | WAT | Shares | $1.0M | 3K |
| Disney Walt Co | DIS | Shares | $1.0M | 10K |
| Seagate Technology Hldngs Pl | Shares | $996K | 3K | |
| Accenture Plc Ireland | Shares | $984K | 5K | |
| Merck & Co Inc | MRK | Shares | $878K | 7K |
| Rtx Corporation | RTX | Shares | $637K | 3K |
| Hca Healthcare Inc | HCA | Shares | $632K | 1K |
Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.