Jarislowsky, Fraser Ltd 13F annual report

Jarislowsky, Fraser Ltd is an investment fund managing more than $16.5 trillion ran by Kevin Brown. There are currently 183 companies in Mr. Brown’s portfolio. The largest investments include Canadian National Railway Co and Brookfield Corp, together worth $1.9 trillion.

Limited to 30 biggest holdings

$16.5 trillion Assets Under Management (AUM)

As of 5th August 2024, Jarislowsky, Fraser Ltd’s top holding is 8,610,928 shares of Canadian National Railway Co currently worth over $1.02 trillion and making up 6.2% of the portfolio value. Relative to the number of outstanding shares of Canadian National Railway Co, Jarislowsky, Fraser Ltd owns more than approximately 0.1% of the company. In addition, the fund holds 21,144,135 shares of Brookfield Corp worth $879 billion. The third-largest holding is Microsoft worth $671 billion and the next is Thomson-Reuters Corp worth $605 billion, with 3,589,198 shares owned.

Currently, Jarislowsky, Fraser Ltd's portfolio is worth at least $16.5 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Jarislowsky, Fraser Ltd

The Jarislowsky, Fraser Ltd office and employees reside in Montreal, Quebec, Canada. According to the last 13-F report filed with the SEC, Kevin Brown serves as the Vice President, Asset Management Compliance at Jarislowsky, Fraser Ltd.

Recent trades

In the most recent 13F filing, Jarislowsky, Fraser Ltd revealed that it had opened a new position in MercadoLibre Inc and bought 2,149 shares worth $3.53 billion. This means they effectively own approximately 0.1% of the company. MercadoLibre Inc makes up 0.2% of the fund's Consumer Discretionary sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Canadian National Railway Co by buying 99,716 additional shares. This makes their stake in Canadian National Railway Co total 8,610,928 shares worth $1.02 trillion. Canadian National Railway Co dropped approximately 0.1% in the past year.

On the other hand, there are companies that Jarislowsky, Fraser Ltd is getting rid of from its portfolio. Jarislowsky, Fraser Ltd closed its position in Alithya on 12th August 2024. It sold the previously owned 2,316,984 shares for $3.58 million. Kevin Brown also disclosed a decreased stake in Brookfield Corp by approximately 0.1%. This leaves the value of the investment at $879 billion and 21,144,135 shares.

One of the largest hedge funds

The two most similar investment funds to Jarislowsky, Fraser Ltd are Candriam S.c.a and Orbis Allan Gray Ltd. They manage $16.4 trillion and $16.7 trillion respectively.


Kevin Brown investment strategy

Jarislowsky, Fraser Ltd’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 15.7% of the total portfolio value. The fund focuses on investments in the Canada as 16.4% of the portfolio companies are based in the Canada.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 46% of the total holdings value. On the other hand, small-cap stocks make up only 2.7% of the portfolio. The average market cap of the portfolio companies is close to $123 billion.

The complete list of Jarislowsky, Fraser Ltd trades based on 13F SEC filings

These positions were updated on August 12th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Canadian National Railway Co.
1.17%
8,610,928
$1,017,314,534,000 6.18%
Brookfield Corp
2.41%
21,144,135
$879,233,712,000 5.34%
Microsoft Corporation
4.47%
1,500,227
$670,526,457,000 4.07%
Thomson-Reuters Corp
3.62%
3,589,198
$604,893,646,000 3.67%
Bank Of Nova Scotia
0.44%
12,685,074
$580,138,038,000 3.52%
Manulife Financial Corp.
7.12%
18,560,925
$494,153,133,000 3.00%
TC Energy Corporation
1.30%
12,592,857
$477,265,001,000 2.90%
Open Text Corp
5.14%
15,702,510
$471,414,789,000 2.86%
Restaurant Brands International Inc
1.23%
6,673,716
$470,161,849,000 2.86%
CGI Inc
2.15%
4,609,507
$459,990,862,000 2.79%
Stantec Inc
2.36%
5,316,836
$445,015,371,000 2.70%
Bank of Montreal
36.91%
5,239,662
$439,705,037,000 2.67%
Amazon.com Inc.
1.93%
2,167,526
$418,874,399,000 2.54%
Gildan Activewear Inc
1.70%
11,031,700
$418,339,524,000 2.54%
Cae Inc.
1.30%
22,249,466
$413,168,364,000 2.51%
Franco-Nevada Corporation
1.16%
3,434,574
$407,123,802,000 2.47%
Unitedhealth Group Inc
0.11%
654,348
$333,233,262,000 2.02%
Magna International Inc - A
5.86%
7,148,236
$299,543,070,000 1.82%
Shopify Inc. Class - A
17.71%
4,437,786
$293,214,394,000 1.78%
Alphabet Inc - A
3.93%
1,599,495
$291,348,050,000 1.77%
Mastercard Inc - A
3.13%
649,969
$286,740,324,000 1.74%
Descartes Systems Group Inc
13.19%
2,890,232
$279,972,413,000 1.70%
Fiserv, Inc.
4.58%
1,667,270
$248,489,920,000 1.51%
Colliers International Group Inc
1.15%
2,190,257
$244,532,146,000 1.49%
Alphabet Inc - C
10.25%
1,304,464
$239,264,786,000 1.45%
Pepsico Inc.
1.08%
1,436,046
$236,847,066,000 1.44%
Copart, Inc.
2.21%
4,249,625
$230,159,690,000 1.40%
Abbott Laboratories
5.99%
2,204,558
$229,075,621,000 1.39%
Royal Bank Of Canada
6.52%
2,089,756
$222,437,653,000 1.35%
Boston Scientific Corp.
2.82%
2,879,213
$221,728,193,000 1.35%
Oracle Corp.
8.20%
1,522,231
$214,939,017,000 1.31%
Jpmorgan Chase Co.
7.39%
1,027,573
$207,836,914,000 1.26%
Becton, Dickinson and Company
1.47%
883,000
$206,365,930,000 1.25%
Interactive Brokers Group Inc
10.61%
1,528,790
$187,429,654,000 1.14%
Accenture plc
10.70%
550,117
$166,910,998,000 1.01%
IQVIA Holdings Inc
0.65%
762,305
$161,181,769,000 0.98%
Danaher Corp.
1.67%
587,708
$146,838,843,000 0.89%
Chubb Limited
27.30%
518,976
$132,380,398,000 0.80%
The Sherwin-williams Company
0.49%
411,155
$122,700,986,000 0.75%
TJX Companies, Inc.
0.36%
1,016,375
$111,902,887,000 0.68%
Meta Platforms Inc
0.83%
220,283
$111,071,094,000 0.67%
Guidewire Software Inc
5.42%
800,544
$110,387,012,000 0.67%
Ametek Inc
0.69%
655,392
$109,260,400,000 0.66%
Hdfc Bank Ltd Adr
0.47%
1,648,305
$106,035,460,000 0.64%
Berkshire Hathaway Inc - B
9.11%
234,066
$95,218,048,000 0.58%
Autodesk Inc.
63.66%
379,882
$94,001,800,000 0.57%
Mondelez International Inc.
10.56%
1,390,582
$90,999,686,000 0.55%
Toronto Dominion Bank
11.83%
1,621,285
$89,100,497,000 0.54%
Diageo Plc Adr
6.90%
650,907
$82,066,417,000 0.50%
Bank OZK
32.54%
1,971,037
$80,812,517,000 0.49%
Procter Gamble Company
23.62%
475,704
$78,453,103,000 0.48%
Johnson Johnson
18.21%
535,628
$78,287,388,000 0.48%
Enbridge Inc
27.94%
1,978,942
$70,388,201,000 0.43%
SiteOne Landscape Supply Inc
26.33%
549,302
$66,690,755,000 0.41%
American Financial Group Inc/oh
2.93%
477,005
$58,681,155,000 0.36%
Relx Plc Adr
5.41%
1,212,161
$55,613,946,000 0.34%
Public Service Enterprises Group
5.31%
718,243
$52,934,509,000 0.32%
Monster Beverage Corp.
2.09%
1,051,153
$52,505,092,000 0.32%
Colgate-Palmolive Co.
10.84%
525,223
$50,967,714,000 0.31%
Costco Wholesale Corp
14.24%
55,235
$46,949,197,000 0.29%
Estee Lauder Companies Inc - A
1.49%
440,919
$46,913,781,000 0.28%
Taiwan Semiconductor Manufactng Adr
11.30%
257,562
$44,766,851,000 0.27%
Cyberark Software Ltd Adr
1.29%
149,084
$40,762,547,000 0.25%
CME Group Inc
31.02%
205,592
$40,419,387,000 0.25%
Unilever Plc Adr
3.66%
669,290
$36,804,257,000 0.22%
Axos Financial Inc.
2.73%
634,041
$36,235,443,000 0.22%
Verisk Analytics Inc - A
37.80%
128,754
$34,705,640,000 0.21%
Credit Acceptance Corp.
4.11%
66,805
$34,383,197,000 0.21%
LCI Industries
44.70%
298,276
$30,835,772,000 0.19%
Asml Holding Nv-ny Reg Shs
7.80%
29,211
$29,874,966,000 0.18%
Progressive Corp/the
1.71%
139,479
$28,971,183,000 0.18%
Sap Ag Adr
10.65%
131,643
$26,553,709,000 0.16%
ServisFirst Bancshares Inc
1.64%
391,797
$24,757,652,000 0.15%
Eli Lilly Company
18.62%
25,772
$23,333,453,000 0.14%
Spdr Sp 500 Etf Trust
6.40%
42,739
$23,259,418,000 0.14%
Exxon Mobil Corp.
30.43%
192,562
$22,167,737,000 0.13%
Automatic Data Processing Inc.
15.44%
89,709
$21,412,641,000 0.13%
Alcon Inc.
0.48%
235,905
$21,014,417,000 0.13%
Pembina Pipeline Corporation
6.45%
464,899
$17,245,787,000 0.10%
Abbvie Inc
24.41%
99,533
$17,071,900,000 0.10%
Zoetis Inc
15.36%
86,363
$14,971,889,000 0.09%
Telus Corp.
7.16%
888,052
$13,440,808,000 0.08%
Comcast Corp - A
19.22%
342,536
$13,413,717,000 0.08%
Novo Nordisk A/s Sponsored Adr
31.66%
81,357
$11,612,898,000 0.07%
Apple Inc
5.84%
53,585
$11,286,072,000 0.07%
Nutrien Ltd
24.49%
210,410
$10,710,034,000 0.07%
Sun Life Financial, Inc.
5.99%
217,209
$10,648,138,000 0.06%
Chevron Corp.
7.22%
65,865
$10,302,603,000 0.06%
Nu Holdings Ltd/cayman Islands
0.60%
727,482
$9,377,242,000 0.06%
Booking Holdings Inc
58.78%
2,351
$9,313,486,000 0.06%
Triple Flag Precious Metals Corp
13.97%
540,302
$8,378,856,000 0.05%
Trip.com Group Ltd - Adr
11.83%
162,471
$7,636,137,000 0.05%
BCE Inc
26.25%
217,153
$7,031,862,000 0.04%
Sea Ltd
9.31%
88,476
$6,318,955,000 0.04%
Credicorp Ltd Adr
5.02%
37,608
$6,067,298,000 0.04%
XP Inc
20.70%
344,149
$6,053,580,000 0.04%
Novartis Ag Adr
7.48%
56,728
$6,039,262,000 0.04%
Kimberly-Clark Corp.
30.58%
41,067
$5,675,459,000 0.03%
Suncor Energy, Inc.
16.22%
146,664
$5,589,598,000 0.03%
Pfizer Inc.
11.65%
199,499
$5,581,982,000 0.03%
Emerson Electric Co.
20.26%
48,600
$5,353,776,000 0.03%
Coca-Cola Co
23.91%
79,318
$5,048,590,000 0.03%
Fomento Econ.mexicano Sab De Cv Adr
18.49%
46,497
$5,005,402,000 0.03%
Infosys Ltd Adr
2.51%
267,952
$4,989,266,000 0.03%
CVS Health Corp
15.34%
80,045
$4,727,457,000 0.03%
Merck Co. Inc.
21.49%
36,190
$4,480,322,000 0.03%
Canadian Pacific Kansas City Ltd
6.59%
56,071
$4,414,871,000 0.03%
Yum China Holdings Inc
4.13%
122,138
$3,766,735,000 0.02%
Mcdonald's Corporation
24.48%
14,003
$3,568,524,000 0.02%
Nike, Inc.
29.44%
47,038
$3,545,254,000 0.02%
MercadoLibre Inc
Opened
2,149
$3,531,666,000 0.02%
Totalenergies Se - Adr
18.36%
47,936
$3,196,372,000 0.02%
Ats Corp
49.52%
94,544
$3,058,766,000 0.02%
Ishares Sp 500 Etf
Opened
4,482
$2,452,684,000 0.01%
Duke Energy Corp.
31.28%
24,383
$2,443,908,000 0.01%
Vanguard Sp 500 Etf
Opened
4,710
$2,355,612,000 0.01%
iShares Short Treasury Bond ETF
87.35%
21,197
$2,342,268,000 0.01%
3M Co.
61.27%
21,999
$2,248,077,000 0.01%
Altria Group Inc.
24.96%
46,300
$2,108,965,000 0.01%
National Grid Plc Adr
1.07%
36,760
$2,087,968,000 0.01%
EOG Resources, Inc.
34.17%
16,114
$2,028,269,000 0.01%
The Allstate Corporation
60.04%
12,336
$1,969,565,000 0.01%
Visa Inc - A
20.50%
7,476
$1,962,225,000 0.01%
Philip Morris International Inc
37.98%
18,900
$1,915,137,000 0.01%
Xcel Energy Inc.
23.58%
35,000
$1,869,350,000 0.01%
International Flavors Fragrances
19.96%
19,400
$1,847,074,000 0.01%
Imperial Oil Limited
36.97%
26,551
$1,809,973,000 0.01%
Canadian Imperial Bank Of Commerce
8.49%
36,436
$1,732,131,000 0.01%
MetLife, Inc.
34.06%
22,075
$1,549,444,000 0.01%
Shell Plc - Adr
41.50%
21,252
$1,533,969,000 0.01%
Zimmer Biomet Holdings Inc
57.34%
13,255
$1,438,565,000 0.01%
Brown-forman Corp - A
24.28%
31,908
$1,408,100,000 0.01%
Ing Groep N.v. Adr
7.39%
75,658
$1,296,778,000 0.01%
Spdr Gold Trust
2.27%
5,909
$1,270,494,000 0.01%
Canadian Natural Resources Ltd.
83.01%
35,008
$1,246,713,000 0.01%
Berkshire Hathaway Inc - A
No change
2
$1,224,482,000 0.01%
Aflac Incorporated
32.31%
13,200
$1,178,892,000 0.01%
Home Depot, Inc.
8.73%
3,293
$1,133,582,000 0.01%
Astrazeneca plc
0.26%
14,119
$1,101,140,000 0.01%
Ishares Msci Eafe Index Fund
0.97%
14,000
$1,096,620,000 0.01%
Wells Fargo Company
19.58%
17,749
$1,054,113,000 0.01%
Wal-mart Stores Inc.
20.78%
13,898
$941,033,000 0.01%
Brown-forman Corp - B
35.51%
21,569
$931,565,000 0.01%
NVIDIA Corp
900.00%
7,280
$899,371,000 0.01%
Intercontinental Hotels-adr
1.03%
7,606
$805,855,000 0.00%
Fortis Inc.
46.16%
20,686
$803,796,000 0.00%
Us Bancorp
62.32%
20,102
$798,049,000 0.00%
Lowe's Companies Inc.
16.76%
3,080
$679,016,000 0.00%
Medtronic Inc. Plc
5.14%
8,555
$673,364,000 0.00%
Rogers Communications Inc - B
1.62%
16,578
$613,035,000 0.00%
Mt Bank Corporation
3.17%
3,815
$577,438,000 0.00%
Cintas Corporation
No change
800
$560,208,000 0.00%
Smith Nephew Plc Adr
22.05%
22,100
$547,638,000 0.00%
Ishares Us Technology Etf
Opened
3,595
$541,047,000 0.00%
Cooper Cos Inc/the
59.72%
5,800
$506,340,000 0.00%
Hilton Worldwide Holdings Inc
No change
2,176
$474,803,000 0.00%
Adobe Inc
No change
830
$461,098,000 0.00%
Cdw Corp/de
No change
1,949
$436,264,000 0.00%
Texas Instruments Inc.
No change
2,225
$432,829,000 0.00%
West Fraser Timber Co. Ltd.
No change
4,740
$363,965,000 0.00%
Marsh Mclennan Companies Inc.
No change
1,700
$358,224,000 0.00%
Broadcom Inc
21.64%
210
$337,161,000 0.00%
Ross Stores, Inc.
11.61%
2,284
$331,910,000 0.00%
Dominion Energy Inc
67.66%
6,651
$325,899,000 0.00%
Cenovus Energy Inc
27.56%
16,430
$322,872,000 0.00%
Ishares Msci Emerging Market
Opened
7,395
$314,953,000 0.00%
Waste Connections Inc
No change
1,784
$312,941,000 0.00%
Alibaba Group Holding-sp Adr
Opened
4,339
$312,408,000 0.00%
Valero Energy Corp.
No change
1,992
$312,265,000 0.00%
Honeywell International Inc
40.95%
1,370
$292,549,000 0.00%
Barrick Gold Corporation
3.12%
17,104
$285,243,000 0.00%
Air Products Chemicals Inc.
33.33%
1,000
$258,050,000 0.00%
Illinois Tool Works, Inc.
15.85%
1,062
$251,651,000 0.00%
Caterpillar Inc.
34.24%
705
$234,835,000 0.00%
Cardinal Health, Inc.
No change
2,250
$221,220,000 0.00%
Union Pacific Corp.
No change
944
$213,589,000 0.00%
Travelers Companies Inc.
0.29%
1,043
$212,083,000 0.00%
Brookfield Asset Management Ltd
40.68%
5,476
$208,418,000 0.00%
Smith A.o Corp
No change
2,494
$203,959,000 0.00%
Cemex S.a.b. De C.v. Sponsored Adr
Opened
26,200
$166,108,000 0.00%
Vale Sa Sponsored Adr
Opened
13,100
$146,327,000 0.00%
Silvercorp Metals Inc
No change
31,500
$105,433,000 0.00%
Ambev Sa Adr
3.62%
39,103
$80,161,000 0.00%
Alithya Group Inc.
Closed
2,316,984
$3,578,000
Parker-Hannifin Corp.
Closed
5,630
$3,129,000
iShares 0-3 Month Treasury Bond
Closed
17,103
$1,722,000
Berry Global Group Inc
Closed
24,164
$1,461,000
Stryker Corp.
Closed
2,429
$869,000
Bank of America Corporation
Closed
19,587
$742,000
Clorox Co.
Closed
4,000
$612,000
Dollar Tree Inc
Closed
4,050
$539,000
Walt Disney Company
Closed
3,139
$384,000
Hartford Financial Services Grp Inc.
Closed
3,600
$370,000
W.r. Berkley Corp.
Closed
3,114
$275,000
Lululemon Athletica inc.
Closed
700
$273,000
Cisco Systems, Inc.
Closed
4,750
$237,000
Mccormick Company Incorporated
Closed
2,700
$207,000
Veralto Corp
Closed
2,339
$207,000
Brookfield Renewable Energy Partners
Closed
8,767
$204,000
Baidu Inc. Sponsored Adr
Closed
1,946
$204,000
Sanofi Adr
Closed
4,200
$204,000
International Business Machines Corp.
Closed
1,050
$200,000
No transactions found
Showing first 500 out of 202 holdings