SEC 13F Intelligence

Nexus Investment Management Ulc / BNS

Nexus Investment Management Ulc’s Bank Nova Scotia B C Position

Does Nexus Investment Management Ulc own Bank Nova Scotia B C (BNS)? Not currently — the last reported position was 698.5K shares worth $37M in Q4 2024; the fund’s latest 13F (Q1 2026) no longer reports it.

Position Value
$37M
Q4 2024
Shares
698.5K
% of Portfolio
+3.74%
Quarters Held
25
position exited

Position History BNS

Reported value by quarter
Q4 ’18: $28MQ4 ’18Q1 ’19: $29MQ2 ’19: $29MQ3 ’19: $30MQ4 ’19: $29MQ4 ’19Q1 ’20: $22MQ2 ’20: $23MQ3 ’20: $23MQ4 ’20: $30MQ4 ’20Q1 ’21: $35MQ2 ’21: $36MQ3 ’21: $34MQ4 ’21: $39MQ4 ’21Q1 ’22: $39MQ2 ’22: $32MQ3 ’22: $27MQ4 ’22: $33MQ4 ’22Q1 ’23: $33MQ2 ’23: $33MQ3 ’23: $29MQ4 ’23: $32MQ4 ’23Q1 ’24: $36MQ2 ’24: $33MQ3 ’24: $39MQ4 ’24: $37MQ4 ’24filingsflow.com
QuarterSharesValue% of Portfolio
Q4 2024698.5K$37M+3.74%
Q3 2024720.2K$39M+3.85%
Q2 2024721.2K$33M+3.46%
Q1 2024687.9K$36M+3.43%
Q4 2023655.0K$32M+3.34%
Q3 2023653.4K$29M+3.31%
Q2 2023655.4K$33M+3.57%
Q1 2023654.4K$33M+3.63%
Q4 2022682.5K$33M+3.78%
Q3 2022566.8K$27M+3.38%
Q2 2022538.5K$32M+3.66%
Q1 2022542.7K$39M+4.09%
Q4 2021554.9K$39M+3.99%
Q3 2021549.8K$34M+3.63%
Q2 2021552.1K$36M+3.71%
Q1 2021557.0K$35M+3.97%
Q4 2020557.0K$30M+3.86%
Q3 2020554.9K$23M+3.49%
Q2 2020551.4K$23M+3.50%
Q1 2020542.2K$22M+3.89%
Q4 2019514.6K$29M+3.99%
Q3 2019533.2K$30M+4.31%
Q2 2019538.5K$29M+4.01%
Q1 2019550.4K$29M+4.33%
Q4 2018556.7K$28M+4.85%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Nexus Investment Management Ulc’s full portfolio or all institutional holders of BNS.