STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management...

12
STONE PORTFOLIO NOTES @ July 31, 2020

Transcript of STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management...

Page 1: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

STONE PORTFOLIO NOTES @ July 31, 2020

Page 2: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING %

Weightings: Growth 43.4 Weightings: Inflation 2.2

Abbott Laboratories 0.8 Barrick Gold Corp. 0.5

BCE Inc. 0.2 Ecolab 0.4

Cargojet Inc. 0.7 Franco-Nevada Corp. 0.4

Coca-Cola Company 0.3 Pembina Pipeline Corporation 0.2

Costco Wholesale Corp. 0.5 Wheaton Precious Metals Corp. 0.7

Fidelity National Information Services 0.4

Jamieson Wellness Inc. 0.6 Weightings: Interest Sensitive 7.3

Microsoft Corp. 1.0 AES Corp. 0.4

Open Text Corp. 0.4 Bank of Montreal, Pref. 0.3

Oracle Corporation 0.4 Bank of Nova Scotia 0.8

Park Lawn Corp. 0.3 Bank of Nova Scotia, Pref, 3.700% 0.3

Pfizer Inc. 0.5 Boralex Inc. 0.4

Stantec Inc. 0.2 Brookfield Asset Management Inc., Cl. A 0.8

Stone Global Sustainability Fund, Sr. A 14.2 Brookfield Infrastructure Partners L.P. 0.3

Stone Global Growth Fund, Sr. A 19.9 Canadian Imperial Bank of Commerce 0.5

Stryker Corp. 0.5 Northland Power Inc. 0.4

TELUS Corp. 0.2 Power Financial Corp. 0.4

TFI International Inc. 0.9 Royal Bank of Canada 1.4

Visa 0.8 Toronto-Dominion Bank 1.1

Waste Connections Inc. 0.6 Transalta Corp. 0.2

Cash & Other Assets (Liabilities) 3.1

Fixed Income 44.0

Net Asset Value 100.0

Page 3: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING % HOLDING % Weightings: Fixed Income 44.0 Weightings: Fixed Income Cont’d Weightings: Fixed Income Cont’d

Alectra Inc., 5.297%, 04/29/41 0.1 Government of Canada, 2.000%, 12/1/51 2.0 Province of Quebec, 2.500%, 09/01/26 0.8

Algonquin Power, 4.600%, 01/29/29 0.4 Government of Canada, 2.750%, 12/01/48 1.5 Province of Quebec, 2.750%, 9/01/27 0.9

Alimentation Couche-Tard, 3.899%, 11/01/22 0.0 Government of Canada, 2.750%, 12/01/64 0.2 Province of Quebec, 3.500%, 12/01/45 0.0

Altagas Ltd., 2.157%, 06/10/25 0.4 Greater Toronto Airports Authority, 2.750%, 10/17/39 0.3 Province of Quebec, 3.500%, 12/01/48 1.4

Altagas Ltd., 4.500%, 8/15/44 0.1 Hydro One Inc., 3.020%, 04/05/29 0.2 Province of Quebec, 4.250%, 12/01/43 0.8

Anheuser-Busch InBev, 2.600%, 5/15/24 0.7 Hydro One Inc., 3.640%, 4/05/50 0.3 RBC, 1.968%, 3/2/22 0.2

AT&T Inc., 4.000%, 11/25/25 0.6 Inter Pipeline 4.637%, 05/30/44 0.1 RBC, 2.360%, 12/05/22 0.7

Bank of America, 2.604%, 03/15/23 0.6 Inter Pipeline Ltd., 4.232%, 06/01/27 0.2 RioCan REIT, 2.194%, 04/09/21 0.4

Bank of America, Var. Rt., 4/25/25 0.4 Iron Mountain, 5.000%, 07/15/28 0.1 Rogers Communications Inc, 4.000%, 03/13/24 0.3

Bank of America, Var. Rt., 9/20/25 0.3 JP Morgan Chase, 2.750%, 02/01/23 0.9 Rogers Communications Inc, 3.650%, 03/31/27 0.2

Bank of Montreal, 2.120%, 3/16/22 0.2 L Brands Inc., 6.875%, 07/01/25 0.1 Spectrum Brands, 5.500%, 07/15/30 0.0

Bank of Montreal, Var. Rt., 6/1/27 0.1 Morgan Stanley 3.000%, 02/07/24 0.6 Sun Life Financial, Var. Rt., 09/19/28 0.5

Bank of Nova Scotia, 2.980%, 04/17/23 0.8 National Bank, 1.957%, 6/30/22 0.7 TC Energy, 3.690%, 07/19/23 0.4

BCE Inc., 2.500%, 5/14/30 1.1 Netflix Inc., 3.000%, 6/15/25 0.5 TC Energy Corp., 4.340%, 10/15/49 0.2

BCE Inc., 3.500%, 9/30/50 0.4 Newell Brands Inc., 4.875%, 06/01/25 0.1 TD Bank, 1.909%, 7/18/23 0.9

Canada Housing Trust, 0.950%, 6/15/25 0.2 Nova Scotia Power, 3.307%, 4/25/50 0.4 TD Bank, 3.005%, 5/30/23 0.2

Canada Housing Trust, 1.750%, 6/15/30 0.7 Parkland Corp., 6.000%, 06/23/28 0.3 Telus Corp., 2.350%, 01/27/28 0.3

Capital Power Corp., 4.284%, 9/18/24 0.5 Pembina Pipeline Corp., 3.540%, 2/3/25 0.5 Telus Corp., 2.750%, 07/08/26 0.8

Capital Power Corp., 4.424%, 02/08/30 0.3 Pembina Pipeline Corp., 2.990%, 01/22/24 0.6 Telus Corp., 3.150%, 02/19/30 0.3

Choice Properties., 3.556%, 9/9/24 0.4 Pembina Pipeline Corp., 4.670%, 5/28/50 0.1 Telus Corp., 3.950%, 02/16/50 0.1

CIBC, 2.040%, 03/21/22 0.2 Province of Alberta, 3.100%, 06/01/50 0.2 Tenet Healthcare, 4.625%, 06/15/28 0.0

Enbridge Inc., 3.950%, 11/19/24 0.7 Province of British Columbia, 2.550%, 6/18/27 0.5 Thomson Reuters, 2.239%, 05/14/25 0.8

Energizer Holdings, 6.375%, 7/15/26 0.0 Province of British Columbia, 2.800%, 06/18/48 0.4 Toronto Hydro Corp., 2.430%,12/11/29 0.2

Epcor Utilities, 3.554%, 11/27/47 0.3 Province of British Columbia, 3.200%, 6/18/44 0.1 Toronto Hydro Corp., 2.990%, 12/10/49 0.2

Ford Credit Canada, 3.349%, 9/19/22 0.2 Province of Nova Scotia, 4.700%, 6/1/41 0.4 Toyota Credit Canada, 2.620%, 10/11/22 0.2

Gartner Inc., 4.500%, 07/01/28 0.0 Province of Ontario, 2.050%, 06/02/30 0.4 Transcanada Pipelines, 3.800%, 4/5/27 0.6

GE Capital Canada, 5.730%, 10/22/37 0.1 Province of Ontario, 2.400%, 6/02/26 0.8 Transurban Finance Co., 4.555%, 11/14/28 0.3

General Motors, 3.000%, 02/26/21 1.0 Province of Ontario, 2.650%, 12/02/50 0.7 Upjohn Finance BV, 1.908%, 06/23/32 0.4

Gibson Energy Inc., 3.600%, 09/17/29 0.5 Province of Ontario, 2.700%, 06/02/29 1.7 Verizon Communications, 2.500%, 5/16/30 0.5

Goldman Sachs, 2.433%, 04/26/23 0.7 Province of Ontario, 2.800%, 6/02/48 0.4 Videotron, 5.625%, 6/15/25 0.4

Government of Canada, 0.500%, 09/01/25 0.7 Province of Ontario, 2.900%, 06/02/28 0.6 VW Credit Canada, 3.250%, 03/29/23 0.1

Government of Canada, 0.750%, 03/01/21 0.1 Province of Ontario, 2.900%, 06/02/49 0.7 Wells Fargo, 2.975%, 05/19/26 0.4

Government of Canada, 2.000%, 6/1/28 0.1 Province of Quebec, 1.900%, 09/01/30 0.7 Wolters Kluwer NV, 0.750%, 07/03/30 0.3

Page 4: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING %

Weightings: Growth 43.4 Weightings: Interest Sensitive 38.1

Abbott Laboratories 4.0 AES Corp. 1.9

BCE Inc. 1.0 Bank of Montreal, Pref. 2.6

Cargojet Inc. 3.2 Bank of Nova Scotia 4.1

Coca-Cola Company 1.4 Bank of Nova Scotia, Pref, 3.700% 2.6

Costco Wholesale Corp. 2.7 Boralex Inc. 1.7

Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5

Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P. 1.6

Microsoft Corp. 4.7 Canadian Imperial Bank of Commerce 2.1

Open Text Corp. 1.7 Decisive Dividend Corp. 0.1

Oracle Corporation 1.8 Northland Power Inc. 1.9

Park Lawn Corp. 1.5 Power Financial Corp. 1.9

Pfizer Inc. 1.0 Royal Bank of Canada 6.8

Stantec Inc. 2.0 Toronto-Dominion Bank 5.0

Stryker Corp. 2.1 Transalta Corp. 1.3

TELUS Corp. 1.1

TFI International Inc. 4.3 Cash & Other Assets (Liabilities) 8.3

Visa 3.9

Waste Connections Inc. 2.7 Net Asset Value 100.0

Weightings: Inflation 10.2

Barrick Gold Corp. 2.1

Ecolab 1.9

Franco-Nevada Corp 1.6

Pembina Pipeline Corporation 1.1 Wheaton Precious Metals Corp. 3.5

Page 5: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING %

Weightings: Growth 73.8 Weightings: Growth Con’t

Abbott Laboratories 2.3 Teamviewer AG 2.4

Adobe Systems Inc. 3.0 Thermo Fisher Scientific Inc. 2.6

Adyen NV 2.1 Tomra Systems ASA 2.9

Ansys Inc. 2.8 Trimble Inc. 2.0

Aptiv plc 2.4 Unilever NV 2.2

ASML Holding 2.1 Vestas Wind Systems A/S 3.0

Assa Abloy AB 1.8 Visa 2.8

Badger Meter Inc. 1.9

Big Yellow Group plc 1.3 Weightings: Inflation 8.4

Cadence Design Systems Inc. 3.1 Ecolab 2.4

Clorox Co. 1.6 EDP Renovaveis SA 2.7

DiaSorin SPA 1.7 Linde plc 3.3

Edwards Lifesciences 2.5

Eurofins Scientific 2.3 Weightings: Interest Sensitive 14.0

GN Store Nord A/S 3.1 AIA Group 3.1

Halma plc 2.1 Close Brothers Group PLC 0.9

Kingspan Group plc 2.5 First Republic Bank 1.9

KONE OYJ, Cl. B 1.6 Hannon Armstrong 3.0

Littelfuse Inc. 2.0 Legal & General Group PLC 2.1

Mastercard Inc. 2.9 Sampo Group 1.1

Microsoft Corp. 3.2 US Bancorp 1.9

Reed Elsevier plc 1.9

Sartorius Stedim Biotech 1.5 Cash & Other Assets (Liabilities) 3.8

Shopify Inc. 2.0

SIG Combibloc Group AG 2.2 Net Asset Value 100.0

Page 6: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING %

Weightings: Growth 73.4 Weightings: Inflation 9.4

Accenture Limited 3.0 Barrick Gold Corp. 2.1

Aecon Group Inc. 1.6 Franco-Nevada Corp. 1.6

Alexion Pharmaceuticals Inc. 1.4 Orocobre Ltd. 1.6

Alphabet Inc., Cl. C 4.7 Wheaton Precious Metals Corp. 4.1

Amazon.com Inc. 6.8

Amgen 2.1 Weightings: Interest Sensitive 8.5

BioMarin Pharmaceutical Inc. 2.4 AES Corp. 1.9

Boston Scientific Corp. 1.7 Blackrock Inc. 2.4

Broadcom Ltd. 2.1 KKR & Co. 1.9

Cigna Corp. 2.2 Onex Corp. 1.1

Costco Wholesale Corp. 2.6 Panton Equity Partners L.P., Cl. A 1.2

Drone Delivery Canada Corp. 1.5

HCA Holdings Inc. 1.7 Cash & Other Assets (Liabilities) 8.7

Intuitive Surgical Inc. 1.7

Jamieson Wellness Inc. 2.3 Net Asset Value 100.0

Kinaxis Inc. 5.1

Mastercard Inc. 4.1

Microsoft Corp. 5.7

Palo Alto Networks Inc. 2.3

SS&C Technologies 1.9

Steris plc 2.2

Stone Global Growth Fund, Sr. A 8.0

UnitedHealth Group Inc. 3.9

Visa

2.4

Page 7: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING % HOLDING %

Weightings: Growth 90.5 Weightings: Growth Con’t Weightings: Inflation 2.8

Adobe Systems Inc. 2.6 Lululemon Athletica Inc. 1.3 Linde plc 1.5

Alphabet Inc., Cl. C 1.5 Martin Marietta Materials Inc. 1.3 Sherwin Williams Co. 1.3

Amadeus IT Holding S.A. 0.7 Mastercard Inc. 1.8

Amazon.com Inc. 3.3 Match Group Inc. 2.0 Weightings: Interest Sensitive 4.7

Amphenol Corporation, Cl. A 1.5 McCormick & Co. 1.8 Jack Henry & Associates Inc. 1.3

ASML Holding 1.4 Microsoft Corp. 1.8 Partners Group Holdings AG 1.4

Autodesk 1.7 Moncler SPA 1.2 S&P Global Inc. 2.0

Becton, Dickinson and Company 1.8 Netflix Inc. 1.7

Broadridge Financial Solutions Inc. 1.4 Next plc 1.1 Cash & Other Assets (Liabilities) 2.0

Cellnex Telecom SA 1.6 Nvidia Corp. 2.2

Cintas Corp. 1.5 Ocado Group plc 2.0 Net Asset Value 100.0

Costar Group Inc. 1.9 Orpea S.A. 1.1

Costco Wholesale Corp. 1.8 Paypal Holdings Inc. 2.8

Delivery Hero AG 1.2 Rational AG 1.3

Estee Lauder Companies Inc., Cl. A 1.4 Rightmove plc 1.1

Freshpet Inc. 1.5 Ringcentral Inc. 1.9

Global Payments Inc. 1.7 Rollins Inc. 2.0

Heineken NV 1.3 Salesforce.com 1.6

Hermes International 1.5 Sandvik AB 1.3

Home Depot Inc. 1.8 SAP 1.7

Hypoport AG 1.5 Sartorius Stedim Biotech 2.6

Idexx Labs 1.8 STMicroelectronics NV 1.5

Intuit Inc. 1.7 Teamviewer AG 1.6

Kering SA 1.1 Tencent Holdings Ltd. 1.9

Kerry Group plc 1.3 TJX Companies Inc. 1.3

Lamb Weston Holdings Inc. 1.1 Visa 1.7

Lonza Group AG, Reg. 2.1 Waste Connections Inc. 1.7

L'Oreal 1.5

Page 8: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING % Weightings: Growth 60.4 Weightings: Inflation 12.0

ABB Ltd. 2.2 Barrick Gold Corp. 2.1

Abbott Laboratories Inc. 2.9 Ecolab 2.2

Abbvie Inc. 2.5 Franco-Nevada Corp. 2.4

Apple Inc. 3.7 Ingredion Inc. 2.4

Applied Materials Inc. 2.5 Wheaton Precious Metals Corp. 2.9

Cisco Systems Inc. 1.8

Coca-Cola Company 2.3 Weightings: Interest Sensitive 15.6

Costco Wholesale Corp. 2.5 AES Corp. 2.5

Fidelity National Information Services 2.9 Allstate Corp. 2.2

Home Depot Inc. 2.9 Blackrock Inc. 3.0

Honeywell International Inc. 2.1 Brookfield Infrastructure Partners 2.3

KLA Tencor Corp. 2.2 Citizens Financial Group Inc. 1.6

Merck & Co. Inc. 2.4 Fifth Third Bancorp. 2.0

Microsoft Corp. 3.1 State Street Corp. 2.0

Oracle Corp. 2.0

Pfizer Inc. 2.4 Cash & Other Assets (Liabilities) 12.0

Qualcomm Inc. 3.2

Raytheon Company 2.1 Net Asset Value 100.0

Stryker Corp. 2.0

United Parcel Service Inc. 2.8

Verizon Communications Inc. 2.6

Visa Corp. 2.5

Walmart Inc. 2.2

Walt Disney Co. 2.6

Page 9: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING %

Weightings: Growth 21.5 Weightings: Interest Sensitive 55.0

Aecon Group Inc. 1.9 AES Corp. 2.5

BCE Inc. 3.9 Bank of Montreal 2.9

George Weston Inc. 0.7 Bank of Nova Scotia 2.9

Loblaw Companies Ltd., Pfd. 0.6 Brookfield Infrastructure Partners 3.8

Rogers Communications Inc. 3.3 Canadian Imperial Bank of Commerce 2.9

Shaw Communications Inc. 3.9 Canadian Utilities, Pfd. 0.7

Telus Corp. 4.1 Emera Inc. 4.3

TFI International Inc. 3.1 Emera Inc., Pfd. 0.6

Fortis Inc. 3.7

Weightings: Inflation 14.4 Fortis Inc., Pfd. 0.7

Barrick Gold Corp. 2.2 Hydro One Inc. 2.2

Enbridge Inc. 3.5 Manulife Financial Corp. 2.3

Franco-Nevada Corp. 1.7 National Bank of Canada 4.3

Pembina Pipeline Corp. 2.7 Northland Power Inc. 5.3

Wheaton Precious Metals Corp. 4.3 Power Financial Corp. 3.0

Royal Bank of Canada 2.9

Royal Bank of Canada, Pfd. 0.6

Sun Life Financial Inc. 2.6

TC Energy Corp. 3.2

Toronto-Dominion Bank 2.9

Toronto-Dominion Bank, Pfd. 0.7

Cash & Other Assets (Liabilities) 9.1

Net Asset Value 100.0

Page 10: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % Weightings: Growth 82.7

Stone Global Sustainability Fund F 82.7

Cash & Other Assets (Liabilities) 17.3

Net Asset Value 100.0

Page 11: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

/

HOLDING % HOLDING %

Weightings: Interest Sensitive 96.7 Cash & Other Assets (Liabilities) 3.3 Bank of Montreal 7.0 Bank of Montreal, Pfd. 0.5 Net Asset Value 100.0 Bank of Nova Scotia 7.9

Brookfield Asset Management Inc. 2.9

Brookfield Asset Management Inc., Cl. A, Pfd. 0.7

Canadian Imperial Bank of Commerce 8.2

Canadian Western Bank 2.0

Genworth MI 2.1

Great West Lifeco Inc. 4.0

Great West Lifeco, Pfd. 0.6

IA Financial Corp. Inc. 3.2

IGM Financial Inc. 2.5

Intact Financial Corp. 3.2

Intact Financial Corporation, Pfd. 0.6

Laurentian Bank of Canada 2.2

Manulife Financial Corp. 4.6

Manulife Financial Corp., Pfd. 0.7

National Bank of Canada 8.1

Onex Corp. 2.3

Power Financial Corp. 4.9

Power Corp. of Canada, Pfd. 0.7

Royal Bank of Canada 8.3

Royal Bank of Canada, Pfd. 0.6

Royal Bank of Canada, Ser. AE Pfd. 0.6

Royal Canadian Mint 2.2

Sun Life Financial Inc. 4.9

Sun Life Financial Inc., Pfd. 0.7

TMX Group Limited 1.9

Toronto Dominion Bank 7.9

Toronto-Dominion Bank, Pfd. 0.7

Page 12: STONE PORTFOLIO NOTES · Fidelity National Information Services 1.7 Brookfield Asset Management Inc., Cl. A 4.5 Jamieson Wellness Inc. 2.6 Brookfield Infrastructure Partners L.P.

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus or offering memorandum before investing. The indicated rates of return are the historical annual compounded total returns including changes in security value and reinvestment of all distributions/dividends and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently, and past performance may not be repeated.