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BBCA ETF Holdings

All holdings

(total: 83)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

ROYAL BANK OF CANADA

7.96%-5 M

SHOPIFY INC COMMON STOCK

6.21%-4 M

TORONTO-DOMINION

4.45%-6 M

ENBRIDGE INC COMMON

4.13%-7 M

BROOKFIELD CORP COMMON

3.46%-4 M

CANADIAN PACIFIC KANSAS

3.20%-3 M

CANADIAN NATURAL

3.17%-7 M

BANK OF NOVA SCOTIA/THE

3.14%-4 M

CONSTELLATION SOFTWARE

3.12%-72 K

BANK OF MONTREAL COMMON

3.11%-3 M

CANADIAN IMPERIAL BANK

2.73%-3 M

CANADIAN NATIONAL

2.67%-2 M

MANULIFE FINANCIAL CORP

2.58%-6 M

SUNCOR ENERGY INC COMMON

2.29%-4 M

TC ENERGY CORP COMMON

2.27%-4 M

WASTE CONNECTIONS INC

2.22%-888 K

ALIMENTATION COUCHE-TARD

2.00%-3 M

AGNICO EAGLE MINES LTD

1.87%-2 M

SUN LIFE FINANCIAL INC

1.60%-2 M

INTACT FINANCIAL CORP

1.52%-615 K

NATIONAL BANK OF CANADA

1.50%-1 M

BARRICK GOLD CORP COMMON

1.37%-6 M

FAIRFAX FINANCIAL

1.35%-73 K

DOLLARAMA INC COMMON

1.30%-960 K

WHEATON PRECIOUS METALS

1.26%-2 M

CAMECO CORP COMMON STOCK

1.15%-1 M

PEMBINA PIPELINE CORP

1.07%-2 M

FRANCO-NEVADA CORP

1.05%-659 K

CGI INC COMMON STOCK CAD

1.04%-710 K

NUTRIEN LTD

1.03%-2 M

BROOKFIELD ASSET

1.00%-1 M

THOMSON REUTERS CORP

1.00%-473 K

WSP GLOBAL INC COMMON

0.99%-428 K

FORTIS INC/CANADA COMMON

0.98%-2 M

TECK RESOURCES LTD

0.96%-2 M

CENOVUS ENERGY INC

0.94%-5 M

RESTAURANT BRANDS

0.91%-1 M

LOBLAW COS LTD COMMON

0.85%-505 K

POWER CORP OF CANADA

0.83%-2 M

RB GLOBAL INC

0.80%-628 K

TOURMALINE OIL CORP

0.70%-1 M

METRO INC/CN COMMON

0.66%-778 K

ROGERS COMMUNICATIONS

0.59%-1 M

TFI INTERNATIONAL INC

0.54%-275 K

MAGNA INTERNATIONAL INC

0.54%-925 K

IMPERIAL OIL LTD COMMON

0.54%-563 K

KINROSS GOLD CORP COMMON

0.53%-4 M

ARC RESOURCES LTD COMMON

0.49%-2 M

EMERA INC COMMON STOCK

0.49%-988 K

GFL ENVIRONMENTAL INC

0.48%-787 K

HYDRO ONE LTD COMMON

0.46%-1 M

STANTEC INC COMMON STOCK

0.44%-393 K

GREAT-WEST LIFECO INC

0.44%-944 K

IVANHOE MINES LTD COMMON

0.44%-2 M

FIRST QUANTUM MINERALS

0.42%-2 M

IA FINANCIAL CORP INC

0.42%-339 K

GEORGE WESTON LTD COMMON

0.40%-189 K

TMX GROUP LTD COMMON

0.39%-947 K

CCL INDUSTRIES INC

0.37%-509 K

OPEN TEXT CORP COMMON

0.37%-935 K

FIRSTSERVICE CORP

0.36%-142 K

GILDAN ACTIVEWEAR INC

0.35%-547 K

TELUS CORP

0.34%-2 M

KEYERA CORP COMMON STOCK

0.34%-790 K

CAE INC COMMON STOCK CAD

0.33%-1 M

ALTAGAS LTD COMMON STOCK

0.32%-1 M

LUNDIN MINING CORP

0.29%-2 M

CANADIAN TIRE CORP LTD

0.25%-175 K

WEST FRASER TIMBER CO

0.24%-190 K

SAPUTO INC COMMON STOCK

0.21%-851 K

BROOKFIELD RENEWABLE

0.19%-465 K

FINNING INTERNATIONAL

0.17%-490 K

QUEBECOR INC COMMON

0.16%-531 K

AIR CANADA COMMON STOCK

0.14%-606 K

CANADIAN UTILITIES LTD

0.14%-435 K

IGM FINANCIAL INC COMMON

0.12%-278 K

CANADIAN APARTMENT

0.12%-283 K

S&P/TSX 60 IX 12/19/2024

0.06%-352

CANADIAN DOLLAR

0.06%-6 M

CAD ETD COLL

0.05%-5 M

CASH

0.00%-6033

Security Description

0.00%-0

CONSTELLATION SOFTWARE

0.00%-65 K

Holding types

Countries

Sectors

No data