Baskin Financial Services Inc.

data from 31/03/2026

Capitalization

$ 1.221 B

-8.08%

Performance

$ 766.500 M

130.33%

Average holding period

23 years

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in Baskin Financial Services Inc.

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2026/03/31 GOOG Alphabet Inc. Class C 6.79% 82.890 M $ 288956 2015/12/31 -9.040 M $ -8.59 %
2026/03/31 AAPL Apple Inc. 6.08% 74.244 M $ 292543 2012/03/31 -5.700 M $ -6.65 %
2026/03/31 COST Costco Wholesale Corporation 5.24% 64.049 M $ 64278 2020/06/30 8.835 M $ 15.55 %
2026/03/31 BN Brookfield Corporation 4.38% 53.455 M $ 1319151 2022/12/31 -7.338 M $ -11.81 %
2026/03/31 MSFT Microsoft Corp. 4.33% 52.830 M $ 142718 2010/12/31 -16.253 M $ -23.46 %
2026/03/31 V Visa Inc. Cls A 4.21% 51.404 M $ 170077 2014/03/31 -8.306 M $ -13.82 %
2026/03/31 NFLX Netflix Inc 4.11% 50.220 M $ 522313 2020/03/31 1.244 M $ 2.55 %
2026/03/31 AMZN Amazon.com Inc 4.04% 49.383 M $ 237112 2019/06/30 -5.401 M $ -9.77 %
2026/03/31 CNQ Canadian Natural Resources 3.91% 47.768 M $ 979213 2022/09/30 15.280 M $ 43.94 %
2026/03/31 LYV Live Nation Entertainment Inc 3.85% 47.053 M $ 308527 2017/03/31 3.162 M $ 7.02 %
2026/03/31 WCN Waste Connections Inc C$ 3.81% 46.499 M $ 286191 2016/06/30 -3.752 M $ -7.37 %
2026/03/31 TFII TFI International Inc. 3.75% 45.848 M $ 421203 2020/03/31 2.258 M $ 5.11 %
2026/03/31 MCO Moody's Corp 3.74% 45.725 M $ 104813 2015/09/30 -7.875 M $ -14.60 %
2026/03/31 TSM Taiwan Semiconductor Manufacturing Co 3.64% 44.428 M $ 131463 2025/06/30 4.597 M $ 11.21 %
2026/03/31 BRK-B Berkshire Hathaway B 3.36% 41.022 M $ 85606 2015/06/30 -2.050 M $ -4.67 %
2026/03/31 MSCI MSCI Inc 3.19% 38.917 M $ 72201 2024/06/30 -2.537 M $ -6.05 %
2026/03/31 RACE Ferrari N.V. 3.11% 37.940 M $ 112099 2018/03/31 -3.479 M $ -8.42 %
2026/03/31 SYK Stryker Corp 3.02% 36.844 M $ 112128 2020/09/30 -2.586 M $ -6.51 %
2026/03/31 GRMN Garmin Ltd 2.93% 35.798 M $ 154294 2023/12/31 4.534 M $ 14.38 %
2026/03/31 FSV FirstService Corp 2.85% 34.820 M $ 250301 2019/06/30 -4.173 M $ -10.67 %
2026/03/31 DPZ Domino's Pizza, Inc. 2.29% 28.019 M $ 78093 2019/06/30 -4.665 M $ -13.92 %
2026/03/31 TDG TransDigm Group Inc 2.18% 26.570 M $ 22926 2024/09/30 -3.920 M $ -12.85 %
2026/03/31 CPRT Copart Inc. 2.07% 25.245 M $ 760384 2020/06/30 -4.571 M $ -15.20 %
2026/03/31 QSR Restaurant Brands International 2.07% 25.245 M $ 341152 2021/12/31 1.985 M $ 8.31 %
2026/03/31 VCSH Vanguard Short-Term Corporate Bond ETF 2.04% 24.854 M $ 313536 2019/12/31 -144.555 K $ -0.58 %
2026/03/31 META Meta Platforms Inc. 1.85% 22.591 M $ 39486 2023/06/30 -3.481 M $ -13.33 %
2026/03/31 FICO Fair Isaac Corporation 1.56% 19.076 M $ 17869 2026/03/31 0.000 $ 0.00 %
2026/03/31 BAM Brookfield Asset Management Ltd 0.95% 11.544 M $ 259649 2022/12/31 -2.127 M $ -15.16 %
2026/03/31 BIP Brookfield Infrast. Partners LP C$ 0.90% 11.034 M $ 305880 2011/03/31 442.622 K $ 3.97 %
2026/03/31 RY Royal Bank of Canada 0.80% 9.789 M $ 60553 2010/12/31 -548.764 K $ -5.11 %
2026/03/31 PBA Pembina Pipeline Corp 0.65% 7.901 M $ 176495 2012/06/30 1.277 M $ 17.59 %
2026/03/31 KO Coca-Cola Company 0.46% 5.634 M $ 74079 2025/12/31 334.906 K $ 8.78 %
2026/03/31 WSO Watsco Inc. 0.40% 4.899 M $ 13467 2021/12/31 1.894 M $ 7.97 %
2026/03/31 Granite Real Estate Investment Trust 0.39% 4.756 M $ 80880 2024/12/31 -32.733 K $ -0.66 %
2026/03/31 GOOGL Alphabet Inc. Class A 0.22% 2.717 M $ 9448 2017/03/31 -275.515 K $ -8.13 %
2026/03/31 TJX TJX Companies Inc 0.14% 1.769 M $ 11080 2022/03/31 67.477 K $ 3.96 %
2026/03/31 BIPC Brookfield Infrastructure Corp Sub VT 0.11% 1.372 M $ 34727 2024/12/31 -205.570 K $ -12.95 %
2026/03/31 VBIL Vanguard 0-3 Month Treasury Bill ETF 0.07% 800.000 K $ 10577 2026/03/31 0.000 $ 0.00 %
2026/03/31 TD Toronto Dominion Bank 0.06% 723.000 K $ 7744 2010/12/31 -6.885 K $ -0.94 %
2026/03/31 MA Mastercard Inc Class A 0.06% 690.000 K $ 1380 2019/06/30 -98.283 K $ -12.47 %
2026/03/31 BMO Bank of Montreal 0.06% 673.000 K $ 4967 2014/03/31 39.221 K $ 4.27 %
2026/03/31 QQQ Invesco QQQ Trust 0.05% 624.000 K $ 1081 2020/12/31 -40.100 K $ -6.05 %
2026/03/31 JPM JP Morgan Chase & Co 0.04% 459.000 K $ 1562 2012/09/30 -43.829 K $ -8.71 %
2026/03/31 ENB Enbridge Inc. 0.04% 445.000 K $ 8200 2020/12/31 53.004 K $ 13.19 %
2026/03/31 CLS Celestica Inc 0.03% 423.000 K $ 1500 2025/06/30 -20.895 K $ -4.71 %
2026/03/31 NVDA Nvidia Corp 0.03% 401.000 K $ 2300 2024/09/30 -27.829 K $ -6.49 %
2026/03/31 TSLA Tesla Motors Inc 0.03% 358.000 K $ 962 2025/06/30 -75.007 K $ -17.32 %
2026/03/31 FTS Fortis Inc. 0.03% 340.000 K $ 6089 2025/03/31 28.678 K $ 7.41 %
2026/03/31 BND Vanguard Total Bond Market ETF 0.02% 235.000 K $ 3185 2021/06/30 -1.369 K $ -0.58 %
2026/03/31 Emera Inc. 0.02% 233.000 K $ 4500 2025/06/30 27.044 K $ 12.18 %
2026/03/31 BSV Vanguard Short-Term Bond Index Fund ETF 0.02% 231.000 K $ 2945 2021/06/30 -1.178 K $ -0.51 %
2026/03/31 VCIT Vanguard Intermediate-Term Corp Bond Index Fund ETF 0.02% 231.000 K $ 2793 2025/03/31 -2.793 K $ -1.19 %
2026/03/31 SU Suncor Energy 0.02% 208.000 K $ 3146 2026/03/31 0.000 $ 0.00 %
2026/03/31 ADBE Adobe Systems Inc. 0.00% 0.000 $ 0 2022/06/30 0.000 $ 0.00 %
2026/03/31 HEI HEICO Corporation 0.00% 0.000 $ 0 2025/03/31 0.000 $ 0.00 %
2026/03/31 BNS Bank of Nova Scotia 0.00% 0.000 $ 0 2025/12/31 0.000 $ 0.00 %