
BANK OF NOVA SCOTIA
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | TFC | 244K | $11.14M |
![]() | ENPH | 237K | $8.39M |
![]() | ACHC | 237K | $5.87M |
![]() | MA | 236K | $134.40M |
![]() | PANW | 231K | $46.96M |
![]() | MCHP | 229K | $14.72M |
![]() | NTAP | 225K | $26.61M |
![]() | TEAM | 217K | $34.59M |
![]() | PLUG | 215K | $502.38K |
![]() | RBA | 215K | $23.25M |
![]() | MET | 213K | $17.56M |
![]() | DHR | 211K | $41.91M |
![]() | VOD | 209K | $2.43M |
![]() | FTRE | 209K | $1.76M |
![]() | YUM | 205K | $31.17M |
![]() | MDLZ | 202K | $12.60M |
![]() | FLS | 200K | $10.63M |
![]() | SHW | 200K | $69.21M |
![]() | FIS | 199K | $13.14M |
![]() | PYPL | 199K | $13.31M |

Truist Financial Corporation
TFC
Shares Held
244K
Value
$11.14M

Enphase Energy, Inc.
ENPH
Shares Held
237K
Value
$8.39M

Acadia Healthcare Company, Inc.
ACHC
Shares Held
237K
Value
$5.87M

Mastercard Incorporated
MA
Shares Held
236K
Value
$134.40M

Palo Alto Networks, Inc.
PANW
Shares Held
231K
Value
$46.96M

Microchip Technology Incorporated
MCHP
Shares Held
229K
Value
$14.72M

NetApp, Inc.
NTAP
Shares Held
225K
Value
$26.61M

Atlassian Corporation
TEAM
Shares Held
217K
Value
$34.59M

Plug Power Inc.
PLUG
Shares Held
215K
Value
$502.38K

RB Global, Inc.
RBA
Shares Held
215K
Value
$23.25M

MetLife, Inc.
MET
Shares Held
213K
Value
$17.56M

Danaher Corporation
DHR
Shares Held
211K
Value
$41.91M

Vodafone Group Public Limited Company
VOD
Shares Held
209K
Value
$2.43M

Fortrea Holdings Inc.
FTRE
Shares Held
209K
Value
$1.76M

Yum! Brands, Inc.
YUM
Shares Held
205K
Value
$31.17M

Mondelez International, Inc.
MDLZ
Shares Held
202K
Value
$12.60M

Flowserve Corporation
FLS
Shares Held
200K
Value
$10.63M

The Sherwin-Williams Company
SHW
Shares Held
200K
Value
$69.21M

Fidelity National Information Services, Inc.
FIS
Shares Held
199K
Value
$13.14M

PayPal Holdings, Inc.
PYPL
Shares Held
199K
Value
$13.31M
