13FBOX
MUFG SECURITIES (CANADA), LTD. · 13F Holdings
Options Calculator Rankings

MUFG SECURITIES (CANADA), LTD.

No.1184 Data as of 2026Q2
Latest AUM (Q2 2026)
$3.71B
QoQ Change Q1 2026
+$232.5M+6.7%
Holdings
43
New Buys
1
Adds
3
Reduces
39
Exits
1
Unchanged
0
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
ROYAL BK CDA COMRY
11.02%9.62%$408.8M2.0M$334.6M2.1M-96,086-4.63%Reduce
Tc Energy Corp COMMONTRP
7.97%5.83%$295.8M4.5M$202.7M3.2M+1.2M+37.93%Add
TORONTO DOMINION BK ONT COM NEWTD
7.74%6.67%$287.0M2.4M$232.1M2.5M-125,391-5.04%Reduce
CCANADIAN NAT RES LTDCNQ
6.76%4.32%$250.9M6.4M$150.4M3.1M+3.3M+105.67%Add
SHOPIFY INCSHOP
5.31%6.19%$197.1M1.7M$215.4M1.8M-93,039-5.12%Reduce
BANK MONTREAL MEDIUM COMBMO
4.72%4.07%$175.0M991,466$141.6M1.0M-56,101-5.36%Reduce
ENBRIDGE INCENB
4.51%5.04%$167.2M3.1M$175.1M3.2M-147,443-4.56%Reduce
BANK NOVA SCOTIA B CBNS
4.07%3.64%$150.9M1.7M$126.6M1.8M-90,045-4.92%Reduce
CANADIAN IMPERIAL BANK OF COCM
4.03%3.75%$149.7M1.3M$130.3M1.4M-75,729-5.50%Reduce
BROOKFIELD CORPBN
3.47%3.8%$128.7M3.0M$132.2M3.3M-247,113-7.56%Reduce
AGNICO EAGLE MINES LTDAEM
3.01%4.33%$111.6M719,467$150.6M743,181-23,714-3.19%Reduce
CANADIAN PACIFIC KANSAS CITYCP
2.93%3.01%$108.7M1.3M$104.6M1.3M-75,887-5.70%Reduce
MANULIFE FINL CORPMFC
2.58%2.46%$95.6M2.4M$85.5M2.5M-126,376-5.08%Reduce
CANADIAN NATL RY COCNI
2.46%2.39%$91.2M765,088$83.2M809,402-44,314-5.47%Reduce
SUNCOR ENERGY INC NEWSU
2.42%3.35%$89.7M1.7M$116.5M1.8M-94,811-5.37%Reduce
BBARRICK MNG CORPGOLD
2.35%2.92%$87.0M2.4M$101.4M2.5M-114,964-4.63%Reduce
WHEATON PRECIOUS METALS CORPWPM
1.94%2.54%$72.1M642,347$88.2M673,474-31,127-4.62%Reduce
CAMECO CORPCCJ
1.69%2.02%$62.7M616,087$70.1M646,029-29,942-4.63%Reduce
SUN LIFE FINANCIAL INC.SLF
1.66%1.48%$61.4M783,684$51.4M821,562-37,878-4.61%Reduce
WASTE CONNECTIONS INCWCN
1.62%1.77%$60.1M361,031$61.5M379,250-18,219-4.80%Reduce
CELESTICA INCCLS
1.6%1.38%$59.2M162,633$48.0M170,442-7,809-4.58%Reduce
FRANCO NEV CORPFNV
1.53%2.03%$56.8M272,806$70.7M285,980-13,174-4.61%Reduce
CCENOVUS ENERGY INC COMCVE
1.28%1.53%$47.3M1.9M$53.2M2.0M-98,310-4.90%Reduce
NUTRIEN LTDNTR
1.15%1.55%$42.8M680,109$53.8M714,117-34,008-4.76%Reduce
FORTIS INCFTS
1.11%1.21%$41.2M720,199$41.9M752,540-32,341-4.30%Reduce
KINROSS GOLD CORPKGC
1.07%1.56%$39.9M1.7M$54.3M1.8M-92,729-5.21%Reduce
PEMBINA PIPELINE CORPPBA
1.02%1.11%$38.0M822,347$38.5M861,940-39,593-4.59%Reduce
TECK RESOURCES LTDTECK
1.02%0.99%$37.7M634,071$34.4M664,068-29,997-4.52%Reduce
RESTAURANT BRANDS INTL INCQSR
0.96%1.09%$35.6M491,312$37.9M513,703-22,391-4.36%Reduce
BCE INCBCE
0.76%1%$28.4M1.3M$34.8M1.4M-64,107-4.63%Reduce
BBROOKFIELD ASSET MANAGEMENT LTD CLASS A LTD VOTING SHS ISIN #CA1130041058 SEDOL #BPCPYH2MAGY
0.64%0.71%$23.9M532,989$24.8M558,805-25,816-4.62%Reduce
IIMPERIAL OIL LTDIMO
0.64%0.84%$23.8M212,062$29.1M222,368-10,306-4.63%Reduce
MAGNA INTL INCMGA
0.64%0.62%$23.8M361,974$21.7M388,829-26,855-6.91%Reduce
BROOKFIELD INFRASTRUC LPBIP
0.64%0.71%$23.6M647,312$24.6M683,053-35,741-5.23%Reduce
TELUS CORPORATIONTU
0.63%0.79%$23.3M2.2M$27.5M2.1M+63,020+2.94%Add
EMERA INCEMA
0.62%0.67%$22.9M432,773$23.2M447,593-14,820-3.31%Reduce
ROGERS COMMUNICATIONS INCRCI
0.48%0.63%$17.7M546,260$22.0M572,807-26,547-4.63%Reduce
CCGI INCGIB
0.46%0.59%$17.1M264,997$20.6M282,770-17,773-6.29%Reduce
TTHOMSON REUTERS CORPTRI
0.41%$15.1M185,253$00+185,253New Buy
GILDAN ACTIVEWEAR INCGIL
0.36%0.44%$13.5M261,950$15.3M274,664-12,714-4.63%Reduce
CAE INCCAE
0.31%0.36%$11.4M454,829$12.4M477,335-22,506-4.71%Reduce
FIRSTSERVICE CORP NEWFSV
0.22%0.24%$8.3M58,540$8.5M61,037-2,497-4.09%Reduce
OPEN TEXT CORP COMOTEX
0.2%0.24%$7.6M342,649$8.3M371,721-29,072-7.82%Reduce

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow